Mutual Funds

Pro-Blend® Conservative Term Series

Investment Objective

To provide capital preservation as a primary goal, with income and capital growth as secondary objectives.

Investment Strategy

The portfolio is invested in a conservative mix of securities that seeks stability with some growth and income potential. Holdings are diversified primarily among fixed income securities, typically focusing on short to intermediate-term maturities. Stock investments may be focused on dividend paying securities in pursuit of growth opportunities and income generation.

The fund manager will adjust the investment mix over time to manage risk by continually evaluating individual securities and market conditions to determine the relative attractiveness of each investment. In general, stock exposure will increase when valuations are low and decrease during speculative markets.

May be Appropriate for Investors

  • Who seek to minimize declines in account value with the potential for modest capital growth and income generation
  • Who want to assume a minimal amount of capital risk through limited stock exposure

About Risk-Based Funds

Risk-based funds offer professional management and asset allocation through a choice of investment objectives that range from fairly aggressive to fairly conservative. All an investor has to do is determine which objective best suits their current risk tolerance and investment time horizon, then decide when to move to a different objective as their personal situation changes over the years.

Time Horizon & Range of Stock Exposure

Conservative TermModerate TermExtended TermMaximum Term
0-5 Years3-10 Years7-20 Years15+ Years
5-35%20-60%40-70%70-95%

Generally, the longer your time horizon, the more aggressive your investment objective can be. Greater stock exposure is typically associated with higher return potential and higher capital risk.

Learn more about our Pro-Blend® Series

Daily Price

$12.96

Daily $ Change

$0.00

Daily % Change

0.00%

as of 06/14/2024

Ticker

EXDAX

CUSIP

563821651

Inception Date

11/01/1995

Investment Minimum

$2,000.00

Investment minimum may be waived for certain qualified retirement plans, participants in an automatic investment program, and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Applications & Forms
Fact Sheet
N-Port Part F Reports

Performance

As of 05/31/2024

YTD

0.47%

1 Year

4.95%

3 Year

-0.45%

5 Year

3.71%

10 Year

3.16%

Inception
(11/01/1995)

5.20%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

 

Expense Ratio

Gross 0.93%
Net 0.90%*

*Includes a 12b-1 fee of 0.25%, of which up to 0.25% is available as a shareholder servicing fee.

Top Ten Investments

As of 05/31/2024

UNITED STATES TREAS NTS . 20251115 2.250% 5.14%
UNITED STATES TREAS NTS 20261115 2.000% 4.28%
UNITED STATES TREAS NTS . 20301115 0.875% 2.68%
UNITED STATES TREAS BDS TIPS . 20270115 2.375% 2.60%
UNITED STATES TREAS NTS . 20271115 2.250% 2.56%
UNITED STATES TREAS NTS . 20291115 1.750% 2.56%
UNITED STATES TREAS BDS . 20420215 2.375% 2.09%
UNITED STATES TREAS NTS . 20241115 2.250% 1.92%
ISHARES TR BROAD USD HIGH 1.86%
PCG - LLC SR SEC GLBL 20290725 11.325% 1.31%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 05/31/2024

Fixed
77.15%
Equity
20.62%
Cash
2.23%
Security Description Country Ticker Shares/Par Market Value (USD)
ADMIRAL GROUP US 16,070 $555,298.85
ADMIRAL GROUP GB 4,323 $149,379.74
AERCAP IRELAND CAPITAL LIMITED SR GLBL NT 20281029 3.000% US 1,700,000 $1,533,893.00
AGREE REALTY CORP US 1,075 $65,317.00
AIR LIQUIDE FR 499 $97,757.78
AIRBUS SE EUR1 FR 698 $118,133.04
ALASKA AIRLINES EQ TR -B B . 20270215 8.000% US 115,613.86 $116,773.74
ALCON INC ORD SHS US 8,058 $718,209.54
ALEXANDER FDG TR II SR SEC GLBL 20280731 7.467% US 1,470,000 $1,542,691.50
ALIBABA GROUP HLDG LTD SR GLBL NT 20310209 2.125% US 1,020,000 $839,470.20
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% US 3,110,000 $2,654,447.20
ALLO ISSUER LLC - A- . 20530620 6.200% US 1,550,000 $1,542,824.90
ALPHABET INC CAP STK CL A US 14,062 $2,425,695.00
AMAZON COM INC US 15,242 $2,689,298.48
AMERICAN HEALTHCARE REIT INC US 2,337 $34,260.42
AMERICAN HOMES 4 RENT US 2,227 $80,261.08
AMERICAN TOWER REIT COM US 516 $101,001.84
AMERICOLD RLTY TR US 1,768 $47,152.56
APPLE INC COM US 6,544 $1,258,084.00
ASHTEAD CAP INC SR SEC GLBL 20280501 4.000% US 1,600,000 $1,500,368.00
ASTRAZENECA PLC US 18,952 $1,478,635.04
ATLASSIAN CORPORATION CL A US 305 $47,842.30
AUCKLAND INTL NPV NZ 14,601 $69,972.66
AUTO TRADER GROUP ORD GBP1.50 GB 16,445 $170,894.11
AVALONBAY CMNTYS INC US 593 $114,259.24
AVANZA BANK HLDG NPV SE 3,372 $87,849.24
BAE SYS PLC US 8,425 $597,265.10
BAE SYSTEMS ORD GBP0.025 GB 5,329 $94,445.57
BANK AMERICA CORP FR . 20320422 2.687% US 2,720,000 $2,281,916.80
BEIERSDORF AG NPV DE 813 $127,402.27
BLACKROCK INC US 751 $579,794.53
BNSF FUNDING TRUST GTD PFD SECS 20551215 6.613% US 1,540,000 $1,523,491.20
BORR IHC LTD SR SEC A 20281115 10.000% US 336,554.88 $352,285.46
BRENNTAG AG NPV DE 568 $40,684.64
BROOGE PETROLEUM AND GAS AE 427,745 $367,860.70
CANADIAN NATL RY CO US 10,810 $1,376,437.30
CAPITAL ONE FINL CORP SR GLBL NT. 20300201 5.700% US 2,940,000 $2,934,531.60
CARETRUST REIT INC US 1,962 $50,168.34
CELLNEX TELECOM SA EUR0.25 ES 2,935 $106,834.49
CENOVUS ENERGY INC SR NT . 20391115 6.750% US 2,110,000 $2,256,265.20
CF HIPPOLYTA ISSUER - B- . 20600715 2.280% US 2,698,356 $2,502,671.76
CIM TR -INV A- FLT 20490225 4.000% US 60,328.89 $56,007.77
CITIGROUP INC SR GLBL NT 20270609 1.462% US 2,490,000 $2,297,398.50
CITIZENS BK NA PROVIDENCE RI SR GLBL NT 20280809 4.575% US 1,470,000 $1,411,993.80
CLEANAWAY WASTE MG NPV AU 49,875 $92,542.54
COCA COLA CO US 27,680 $1,741,902.40
COGENT IPV LLC, - A- . 20540525 7.924% US 850,000 $859,202.87
COMMONBOND ST LN TR -A-GS A- . 20470125 2.540% US 658,620.19 $572,784.33
CONSTELLATION BRANDS INC US 3,599 $900,577.77
COPART INC US 17,932 $951,471.92
CROWN CASTLE INTL CORP NEW US 449 $46,022.50
CSMC TRUST -IVR A- FLT 20430525 2.500% US 286,816.44 $241,200.06
CSMC TRUST -TH A- FLT 20430225 2.130% US 158,770.32 $130,305.75
CSX CORP US 35,468 $1,197,045.00
DATABANK ISSUER LLC - A- . 20511025 2.400% US 1,630,000 $1,465,662.10
DATABANK ISSUER LLC - A- . 20530225 5.116% US 1,500,000 $1,421,869.05
DEUTSCHE BOERSE ADR US 46,217 $917,684.75
DEUTSCHE BOERSE AG NPV(REGD) DE 816 $162,021.89
DIGITAL RLTY TR INC US 719 $104,499.46
DIGITALBRIDGE GROUP INC CL A NEW US 2,369 $32,313.16
DOLLARAMA INC COM NPV CA 1,252 $118,481.46
ELECTRONIC ARTS INC US 10,012 $1,330,394.56
ENERGY TRANSFER L P SR GLBL A 20310201 7.375% US 1,400,000 $1,453,466.00
ENERGY TRANSFER L P SR NT . 20420201 6.500% US 2,090,000 $2,164,654.80
EQUINIX INC US 497 $379,201.06
EQUITY COMWLTH US 2,599 $50,186.69
EQUITY LIFESTYLE PPTYS INC US 1,467 $92,083.59
EQUITY RESIDENTIAL US 1,350 $87,790.50
EVERGY INC COM US 16,852 $921,130.32
EXPERIAN ORD USD0.10 GB 1,932 $88,725.79
EXTRA SPACE STORAGE INC US 630 $91,205.10
FHLMC GIANT MBS GOLD COMB . 20380201 6.000% US 119,742.17 $122,289.09
FHLMC GIANT MBS GOLD COMB . 20400401 6.000% US 16,685.59 $17,007.29
FHLMC GIANT MBS GOLD COMB . 20400501 6.000% US 97,799.23 $99,878.44
FHLMC MBS GOLD CASH . 20331201 4.500% US 31,948.49 $31,285.88
FHLMC MBS GOLD CASH . 20340501 4.500% US 315,830 $309,213.36
FHLMC MBS GOLD COMB . 20400701 4.500% US 410,916.38 $396,620.60
FHLMC REMIC SERIES CP . 20490625 2.500% US 1,793,049.63 $1,514,842.38
FHLMC SUPER Y FIXED . 20500201 3.000% US 2,998,625.15 $2,559,956.28
FHLMC SUPER Y FIXED . 20520601 4.500% US 2,085,665.23 $1,950,868.69
FHLMC SUPER Y FIXED . 20520701 5.500% US 3,578,740.83 $3,524,379.76
FHLMC SUPER Y FIXED . 20521201 5.000% US 1,231,267.57 $1,184,910.35
FHLMC UMBS Y FIXED . 20420701 3.500% US 1,167,692.83 $1,055,337.43
FHLMC UMBS Y FIXED . 20420801 4.500% US 1,725,228.66 $1,647,938.42
FHLMC UMBS Y FIXED . 20421001 4.000% US 2,390,236.48 $2,209,343.38
FIFTH THIRD BANCORP SR GLBL NT 20281027 6.361% US 545,000 $554,690.10
FIN OF AMER STRU SECS -S A . 20721225 3.000% US 1,144,006.97 $1,088,383.52
FINECOBANK SPA EUR0.33 IT 4,755 $76,630.31
FIRST INDUSTRIAL REALTY TRUS US 602 $28,366.24
FISERV INC US 5,801 $868,757.76
FLAGSHIP CMNTYS RE TR UNIT (USD) CA 3,001 $44,714.90
FLEXENTIAL ISSUER LLC - A- . 20511127 3.250% US 2,600,000 $2,382,594.50
FNMA MEGA WGTD AVG MEGA . 20490101 5.642% US 487,600.44 $485,118.55
FNMA REMC TRUST - WJ . 20501025 1.500% US 1,079,548.46 $854,608.56
FNMA REMIC TRUST - KP . 20470725 3.500% US 40,242.5 $38,609.83
FNMA REMIC TRUST - PA . 20480325 3.000% US 1,646,252.91 $1,397,183.57
FNMA SUPER INT YEAR . 20241001 5.500% US 83.91 $84.12
FNMA SUPER INT YEAR . 20430501 5.000% US 3,494,914.33 $3,402,998.08
FNMA SUPER LNG YEAR . 20380401 5.000% US 6,109.71 $5,997.60
FNMA SUPER LNG YEAR . 20380401 6.000% US 147,484.13 $150,424.96
FNMA SUPER LNG YEAR . 20380701 6.000% US 179,239.7 $182,811.95
FNMA SUPER LNG YEAR . 20381001 6.000% US 25,584.75 $26,077.00
FNMA SUPER LNG YEAR . 20390701 6.000% US 165,458.34 $168,754.27
FNMA SUPER LNG YEAR . 20400101 6.000% US 170,416.34 $173,814.44
FNMA SUPER LNG YEAR . 20400201 6.000% US 71,679.66 $73,109.67
FNMA SUPER LNG YEAR . 20400601 6.000% US 289,138.28 $294,906.59
FNMA SUPER LNG YEAR . 20411201 4.500% US 316,528.74 $305,105.22
FNMA SUPER LNG YEAR . 20430601 4.000% US 165,423.77 $153,941.71
FNMA SUPER LNG YEAR . 20491201 3.500% US 2,821,791.7 $2,527,535.26
FNMA SUPER LNG YEAR . 20501201 3.000% US 1,804,353.7 $1,541,188.71
FNMA SUPER LNG YEAR . 20510801 4.000% US 3,587,371.5 $3,300,166.54
FNMA SUPER LNG YEAR . 20520401 3.500% US 3,825,625.24 $3,397,882.08
FNMA SUPER LNG YEAR . 20520401 3.500% US 3,286,953.48 $2,925,388.60
FNMA UMBS INT YEAR . 20240901 4.500% US 653.36 $647.44
FNMA UMBS INT YEAR . 20340201 4.500% US 214,291.39 $209,857.70
FNMA UMBS INT YEAR . 20340501 4.500% US 201,222.79 $196,884.43
FNMA UMBS INT YEAR . 20401201 2.500% US 2,244,036.91 $1,932,631.91
FNMA UMBS INT YEAR . 20420601 3.500% US 1,150,357.92 $1,043,535.68
FNMA UMBS INT YEAR . 20420601 4.000% US 2,888,230.35 $2,669,764.61
FNMA UMBS INT YEAR . 20430201 5.000% US 1,741,618.7 $1,696,423.69
FNMA UMBS LNG YEAR . 20360901 6.500% US 31,522.99 $32,416.67
FNMA UMBS LNG YEAR . 20380101 5.000% US 5,444.93 $5,361.24
FNMA UMBS LNG YEAR . 20380501 5.000% US 22,403.61 $21,926.19
FNMA UMBS LNG YEAR . 20380801 6.000% US 2,182.28 $2,203.58
FNMA UMBS LNG YEAR . 20380901 6.000% US 8,324.97 $8,358.94
FNMA UMBS LNG YEAR . 20380901 6.000% US 15,617.91 $15,693.34
FNMA UMBS LNG YEAR . 20381201 6.000% US 6,235 $6,359.39
FNMA UMBS LNG YEAR . 20390101 5.000% US 11,166.18 $10,995.56
FNMA UMBS LNG YEAR . 20390101 5.000% US 31,435.83 $30,874.07
FNMA UMBS LNG YEAR . 20390201 5.000% US 13,113.28 $12,897.96
FNMA UMBS LNG YEAR . 20390801 6.000% US 106,966.92 $108,373.53
FNMA UMBS LNG YEAR . 20391101 5.000% US 25,523.32 $25,104.23
FNMA UMBS LNG YEAR . 20391101 5.000% US 11,971.16 $11,774.59
FNMA UMBS LNG YEAR . 20391201 4.500% US 280,131.31 $270,021.37
FNMA UMBS LNG YEAR . 20391201 5.000% US 15,570.11 $15,314.45
FNMA UMBS LNG YEAR . 20400101 5.000% US 21,097.87 $20,751.44
FNMA UMBS LNG YEAR . 20410801 4.000% US 146,540.96 $136,045.70
FNMA UMBS LNG YEAR . 20420101 3.500% US 73,016.93 $66,441.76
FNMA UMBS LNG YEAR . 20460501 4.000% US 76,620.06 $71,066.64
FNMA UMBS LNG YEAR . 20461001 4.000% US 96,990.67 $89,833.73
FNMA UMBS LNG YEAR . 20461201 4.000% US 125,627.94 $115,826.45
FNMA UMBS LNG YEAR . 20470201 4.500% US 123,240.74 $117,641.91
FNMA UMBS LNG YEAR . 20471101 4.500% US 574,703.04 $546,266.73
FNMA UMBS LNG YEAR . 20500401 3.000% US 3,949,901.8 $3,371,320.18
FNMA UMBS LNG YEAR . 20500501 3.000% US 4,041,018.92 $3,446,989.14
FNMA UMBS LNG YEAR . 20520501 3.500% US 1,335,275.7 $1,170,102.10
FNMA UMBS LNG YEAR . 20520501 4.000% US 3,568,965.73 $3,242,084.16
FNMA UMBS LNG YEAR . 20521101 5.500% US 913,375.23 $900,176.96
GLOBANT S A US 665 $107,144.80
GNMA PASS-THRU X SINGLE FAMILY . 20371115 5.500% US 24,077.4 $24,399.80
GOLDEN PEAR FUNDING HOLDCO LLC SR A NT 20280302 10.000% US 230,000 $214,291.00
GOODMAN GROUP NPV (STAPLED UNITS) AU 1,555 $34,664.80
GS MBS TR -PJ A- FLT 20520225 2.500% US 1,132,317.97 $967,587.45
GS MBS TR -PJ A- FLT 20520525 2.500% US 1,793,796.15 $1,519,450.28
GS MRTG BCK SEC TR -INV A- FLT 20511225 5.000% US 1,398,706.62 $1,292,504.92
GS MTG -BACK SEC TR -PJ A- FLT 20511125 2.500% US 1,143,111.37 $978,305.57
HALMA ORD GBP0.10 GB 4,293 $121,669.77
HAWAII ST TAXABLE GO REF BDS G 20381001 2.682% US 2,660,000 $1,987,871.20
HDFC BANK LTD US 22,092 $1,278,905.88
HEINEKEN N V US 31,501 $1,571,017.87
HEINEKEN NV NL 1,494 $149,018.92
HELIOS TOWERS PLC ORD GBP0.01 GB 26,105 $41,479.63
HUMANA INC US 1,916 $686,157.92
HUNTINGTON BANCSHARES INC GLBL NT . 20300204 2.550% US 1,650,000 $1,396,791.00
IIP OPER PARTNERSHIP L P SR GLBL NT. 20260525 5.500% US 460,000 $437,593.40
IMCD NV EUR0.16 NL 757 $114,558.81
IMPERIAL FUND MTG TR -NQM A- FLT 20561125 1.595% US 1,235,474.83 $1,032,889.45
IMPERIAL FUND MTG TR -NQM A- FLT 20670225 2.493% US 2,296,183.5 $2,007,302.95
INFINEON TECHNOLOGIES AG US 30,015 $1,199,909.66
INFINEON TECHNOLOGY DE 3,287 $131,405.13
INFRABUILD AUSTRALIA PTY LTD SR A NT 20281115 14.500% AU 350,000 $363,531.00
INTERCONTINENTAL EXCHANGE INC COM US 5,873 $786,394.70
INTERMED CAP GRP ORD GBP0.2625 GB 3,378 $99,350.09
INTUITIVE SURGICAL INC US 1,403 $564,174.36
INVITATION HOMES INC US 3,880 $134,985.20
ISHARES TR BROAD USD HIGH US 167,405 $6,081,823.65
ITALY REP GLBL NT . 20241017 2.375% IT 600,000 $592,308.00
JAPAN (2 YEAR ISSUE) JP 200,000,000 $1,268,191.80
JEFFERIES FINANCIAL GROUP INC SR GLBL NT. 20340414 6.200% US 2,110,000 $2,116,393.30
JOHNSON AND JOHNSON US 12,268 $1,799,347.56
JP MORGAN MTG TR - -A- FLT 20290625 3.000% US 173,875.13 $165,873.99
JP MORGAN MTG TR - -A- FLT 20470825 3.500% US 29,006.14 $25,495.13
JP MORGAN MTG TR - A- FLT 20481225 3.500% US 65,399.18 $57,401.35
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% US 3,460,000 $3,317,205.80
KEYBANK NATIONAL ASSOCIATION SR GLBL NT 20271115 5.850% US 1,420,000 $1,410,216.20
KEYENCE CORP JP 300 $134,951.80
L3HARRIS TECHNOLOGIES INC COM US 8,030 $1,805,384.90
LEXINGTON CORP PPTYS TR US 7,439 $63,231.50
LIBRA SOL LLC - A . 20341015 6.850% US 433,438.29 $432,409.09
LIBRA SOL LLC - A . 20350215 7.000% US 521,696.17 $520,432.73
LONZA GROUP AG US 11,187 $603,158.29
LONZA GROUP AG CHF1(REGD) CH 202 $108,909.60
MASCO CORP US 8,013 $560,268.96
MASSMUTUAL GLBL FDG II MTN A NT . 20290117 4.850% US 730,000 $719,115.70
MASTERCARD INCORPORATED CL A US 5,371 $2,401,212.97
MERCADOLIBRE INC US 671 $1,157,864.18
META PLATFORMS INC CL A US 5,076 $2,369,629.08
METROPOLITAN LIFE GLOBAL FDG I FR . 20290108 4.850% US 730,000 $719,320.10
MEX BONOS DESARR FIX RT MX 908,000 $47,640.78
MICRON TECHNOLOGY INC US 9,657 $1,207,125.00
MICROSOFT CORP US 4,306 $1,787,549.78
MID-AMER APT CMNTYS INC US 360 $48,135.60
MONARCH CASINO AND RESORT INC US 565 $37,838.05
MONDELEZ INTL INC US 7,685 $526,653.05
MOODYS CORP US 3,461 $1,373,982.39
MSCI INC US 1,879 $930,443.22
NAVIENT CORPORATION SR GLBL NT 20250625 6.750% US 485,000 $485,552.90
NESTLE S A SPONSORED ADR US 8,534 $903,963.95
NESTLE SA CHF0.10 (REGD) CH 963 $102,005.52
NEW FORTRESS ENERGY INC SR SEC GLBL 20290315 8.750% US 345,000 $330,734.25
NEW RESI MTG LN TR - A- FLT 20550825 3.750% US 270,056.79 $248,493.19
NEW RESI MTG LN TR - A- FLT 20561125 3.750% US 392,803.2 $361,093.42
NEW RESI MTG LN TR - A-FXD FLT 20541125 3.750% US 276,363.42 $254,785.32
NEW YORK LIFE GLOBAL FDG FR . 20290129 4.700% US 730,000 $719,415.00
NEWCASTLE COAL INFRASTRUCTURE SR SEC A NT 20270929 4.400% US 1,634,670.04 $1,539,908.22
NORTHROP GRUMMAN CORP US 1,711 $771,267.47
NYMT LN TR -CP A- . 20610725 2.042% US 1,367,709.91 $1,235,500.78
OBX TRUST -INV A- FLT 20511225 3.000% US 2,108,321.04 $1,719,681.57
OBX TRUST -NQM A- . 20631125 5.928% US 1,372,150.99 $1,363,548.98
OPEN INFRA US ASSETS AB (PUBL) 11.0 20270222 US 400,000 $400,058.32
OXFORD FIN CR FD III -A LP A- . 20320114 6.675% US 220,000 $218,895.38
OXFORD FIN FDG LLC - A- . 20280215 3.100% US 95,017.97 $93,688.57
OXFORD FIN FDG TR - A- . 20310215 6.716% US 2,500,000 $2,505,479.00
OXFORD FIN FDG TR LLC - A- . 20300215 3.602% US 2,639,191.56 $2,527,207.76
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% US 2,550,000 $2,656,105.50
PCG - LLC SR SEC GLBL 20290725 11.325% US 4,291,518.19 $4,290,874.46
PEAR - LLC A . 20350716 0.000% US 1,152,876.43 $1,157,926.37
PEAR LLC - A . 20360215 6.950% US 662,316.8 $659,119.20
PEAR, LLC - A . 20340115 2.600% US 1,321,978.47 $1,281,691.84
PELORUS FUND REIT LLC CR SEN SR GLBL 20260930 7.000% US 470,000 $446,866.60
PHILIP MORRIS INTL INC US 15,117 $1,532,561.46
PMT LOAN TRUST -J A- FLT 20430925 3.500% US 571,061.44 $506,302.04
PNC FINL SVCS GROUP INC SR GLBL NT 20260612 5.812% US 1,990,000 $1,992,626.80
PROLOGIS INC US 2,786 $307,825.14
PROVIDENT FDG MTG TR - A-A FLT 20510525 2.000% US 1,420,994.95 $1,189,563.75
PROVIDENT FND MTG TR -INV A- FLT 20510825 2.500% US 2,300,068.75 $1,802,248.77
PUBLIC STORAGE INC US 485 $132,807.55
REALTY INCOME CORP US 896 $47,541.76
REXFORD INDL RLTY INC US 1,873 $84,959.28
ROCHE HLDG LTD SPONSORED ADR US 36,352 $1,163,518.46
ROCHE HLDGS AG GENUSSCHEINE NPV CH 489 $125,210.89
S AND P GLOBAL INC US 1,777 $759,685.27
SBA COMMUNICATIONS CORP NEW US 693 $136,299.24
SBA TOWER TR - - . 20521115 6.599% US 2,540,000 $2,590,548.03
SEQUOIA MTG TR - A FLT 20430225 1.874% US 139,931.86 $113,362.51
SEQUOIA MTG TR - A- FLT 20430525 3.000% US 1,090,164.62 $937,009.57
SEQUOIA MTG TR - A- FLT 20430625 3.000% US 167,030.05 $143,195.90
SEQUOIA MTG TR - A- FLT 20430625 3.000% US 198,856.48 $171,132.15
SEQUOIA MTG TR - A- FLT 20500225 3.500% US 61,584.51 $53,662.07
SERVICENOW INC US 1,629 $1,070,138.97
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% US 4,505,000 $3,736,897.50
SIRIUSPOINT LTD SR GLBL NT 20290405 7.000% US 1,440,000 $1,451,678.40
SOFTCAT PLC ORD GBP0.0005 GB 3,019 $63,806.93
SONY CORP NPV JP 1,200 $98,469.57
SOUTH CAROLINA ST PUB SVCS AUT TAXABLE REF OBLIGS B 20261201 1.852% US 3,460,000 $3,188,147.80
STARWOOD RTL PPTY TR -STAR A FLT 20271115 8.494% US 1,509,868.63 $921,019.86
STORE MSTR FDG I-VII - A- . 20491120 2.820% US 2,081,935.44 $1,929,536.31
SUN COMMUNITIES INC US 1,102 $130,024.98
SUTHERLAND COML MTG TF -SB A FLT 20410425 2.860% US 1,421,160.82 $1,315,026.40
TAIWAN SEMICONDUCTOR MFG LTD US 16,225 $2,450,624.00
TECHTRONIC INDS LTD US 8,504 $520,130.15
TECHTRONIC INDUSTRIES HK 10,000 $122,326.11
TENCENT HLDGS LIMI HKD0.00002 HK 3,200 $147,169.69
TENCENT HLDGS LTD FR . 20290411 3.975% US 2,840,000 $2,686,782.00
TERRENO RLTY CORP US 1,449 $81,984.42
THERMO FISHER SCIENTIFIC INC COM US 990 $562,300.20
TOWD PT MTG TR -HY A FLT 20481026 6.444% US 408,985.21 $414,528.64
TRUIST FINL CORP FR . 20290607 1.887% US 2,500,000 $2,172,225.00
UDR INC US 926 $35,762.12
UNION PAC CORP US 3,910 $910,326.20
UNITED AIR PASS THRU TR - B . 20291101 3.500% US 294,022.53 $272,377.62
UNITED AIRLS INC -B B . 20270901 4.600% US 63,664.97 $61,789.81
UNITED STATES TREAS BDS . 20420215 2.375% US 9,544,000 $6,840,375.68
UNITED STATES TREAS BDS TIPS . 20270115 2.375% US 8,527,527.62 $8,512,007.52
UNITED STATES TREAS NTS . 20241115 2.250% US 6,372,000 $6,285,085.92
UNITED STATES TREAS NTS . 20251115 2.250% US 17,508,000 $16,824,137.52
UNITED STATES TREAS NTS . 20271115 2.250% US 9,057,000 $8,370,298.26
UNITED STATES TREAS NTS . 20291115 1.750% US 9,617,000 $8,358,519.38
UNITED STATES TREAS NTS . 20301115 0.875% US 11,003,000 $8,782,154.48
UNITED STATES TREAS NTS 20261115 2.000% US 14,957,000 $14,000,649.42
UNITEDHEALTH GROUP INC US 1,091 $540,448.67
US BANCORP FR . 20290201 4.653% US 2,150,000 $2,093,648.50
US CLAIMS LITIGATION FDG LLC SR A NT 20280317 10.250% US 250,000 $232,225.00
US DOLLARS US 7,465,382.02 $7,465,382.02
VENTAS INC US 1,093 $54,934.18
VERTEX PHARMACEUTICALS INC US 1,329 $605,146.86
VISA INC US 6,442 $1,755,187.32
WARNERMEDIA HLDGS INC SR GLBL NT 20290315 4.054% US 2,380,000 $2,188,624.20
WELLS FARGO n CO FR . 20280422 5.707% US 2,100,000 $2,112,579.00
WELLTOWER INC US 1,442 $149,492.14
WINWATER MTG LN TR - A- FLT 20450120 3.500% US 91,746.21 $81,731.43

Investments will change over time.

Distributions

  • 2024 Distribution Calendar
  • 2024 Distributions
  • 2023 Distributions
  • 2022 Distributions
  • 2021 Distributions
  • 2020 Distributions
  • Tax Letter
  • Target Income Merger into Pro Blend Conservative
  • Target 2015 Merger into Pro Blend Conservative
  • Pro-Blend Conservative Series Stock Split

A Word About Risk

All investments involve risks, including possible loss of principal. Because the fund invests in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in the fund will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.

Daily Price

$12.96

Daily $ Change

$0.00

Daily % Change

0.00%

as of 06/14/2024

Ticker

EXDAX

CUSIP

563821651

Inception Date

11/01/1995

Investment Minimum

$2,000.00

Investment minimum may be waived for certain qualified retirement plans, participants in an automatic investment program, and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Applications & Forms
Fact Sheet
N-Port Part F Reports

Investment Objective

To provide capital preservation as a primary goal, with income and capital growth as secondary objectives.

Investment Strategy

The portfolio is invested in a conservative mix of securities that seeks stability with some growth and income potential. Holdings are diversified primarily among fixed income securities, typically focusing on short to intermediate-term maturities. Stock investments may be focused on dividend paying securities in pursuit of growth opportunities and income generation.

The fund manager will adjust the investment mix over time to manage risk by continually evaluating individual securities and market conditions to determine the relative attractiveness of each investment. In general, stock exposure will increase when valuations are low and decrease during speculative markets.

May be Appropriate for Investors

  • Who seek to minimize declines in account value with the potential for modest capital growth and income generation
  • Who want to assume a minimal amount of capital risk through limited stock exposure

About Risk-Based Funds

Risk-based funds offer professional management and asset allocation through a choice of investment objectives that range from fairly aggressive to fairly conservative. All an investor has to do is determine which objective best suits their current risk tolerance and investment time horizon, then decide when to move to a different objective as their personal situation changes over the years.

Time Horizon & Range of Stock Exposure

Conservative TermModerate TermExtended TermMaximum Term
0-5 Years3-10 Years7-20 Years15+ Years
5-35%20-60%40-70%70-95%

Generally, the longer your time horizon, the more aggressive your investment objective can be. Greater stock exposure is typically associated with higher return potential and higher capital risk.

Learn more about our Pro-Blend® Series

Performance

As of 05/31/2024

YTD

0.47%

1 Year

4.95%

3 Year

-0.45%

5 Year

3.71%

10 Year

3.16%

Inception
(11/01/1995)

5.20%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.

 

Expense Ratio

Gross 0.93%
Net 0.90%*

*Includes a 12b-1 fee of 0.25%, of which up to 0.25% is available as a shareholder servicing fee.

Top Ten Investments

As of 05/31/2024

UNITED STATES TREAS NTS . 20251115 2.250% 5.14%
UNITED STATES TREAS NTS 20261115 2.000% 4.28%
UNITED STATES TREAS NTS . 20301115 0.875% 2.68%
UNITED STATES TREAS BDS TIPS . 20270115 2.375% 2.60%
UNITED STATES TREAS NTS . 20271115 2.250% 2.56%
UNITED STATES TREAS NTS . 20291115 1.750% 2.56%
UNITED STATES TREAS BDS . 20420215 2.375% 2.09%
UNITED STATES TREAS NTS . 20241115 2.250% 1.92%
ISHARES TR BROAD USD HIGH 1.86%
PCG - LLC SR SEC GLBL 20290725 11.325% 1.31%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 05/31/2024

Fixed
77.15%
Equity
20.62%
Cash
2.23%
Security Description Country Ticker Shares/Par Market Value (USD)
ADMIRAL GROUP US 16,070 $555,298.85
ADMIRAL GROUP GB 4,323 $149,379.74
AERCAP IRELAND CAPITAL LIMITED SR GLBL NT 20281029 3.000% US 1,700,000 $1,533,893.00
AGREE REALTY CORP US 1,075 $65,317.00
AIR LIQUIDE FR 499 $97,757.78
AIRBUS SE EUR1 FR 698 $118,133.04
ALASKA AIRLINES EQ TR -B B . 20270215 8.000% US 115,613.86 $116,773.74
ALCON INC ORD SHS US 8,058 $718,209.54
ALEXANDER FDG TR II SR SEC GLBL 20280731 7.467% US 1,470,000 $1,542,691.50
ALIBABA GROUP HLDG LTD SR GLBL NT 20310209 2.125% US 1,020,000 $839,470.20
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% US 3,110,000 $2,654,447.20
ALLO ISSUER LLC - A- . 20530620 6.200% US 1,550,000 $1,542,824.90
ALPHABET INC CAP STK CL A US 14,062 $2,425,695.00
AMAZON COM INC US 15,242 $2,689,298.48
AMERICAN HEALTHCARE REIT INC US 2,337 $34,260.42
AMERICAN HOMES 4 RENT US 2,227 $80,261.08
AMERICAN TOWER REIT COM US 516 $101,001.84
AMERICOLD RLTY TR US 1,768 $47,152.56
APPLE INC COM US 6,544 $1,258,084.00
ASHTEAD CAP INC SR SEC GLBL 20280501 4.000% US 1,600,000 $1,500,368.00
ASTRAZENECA PLC US 18,952 $1,478,635.04
ATLASSIAN CORPORATION CL A US 305 $47,842.30
AUCKLAND INTL NPV NZ 14,601 $69,972.66
AUTO TRADER GROUP ORD GBP1.50 GB 16,445 $170,894.11
AVALONBAY CMNTYS INC US 593 $114,259.24
AVANZA BANK HLDG NPV SE 3,372 $87,849.24
BAE SYS PLC US 8,425 $597,265.10
BAE SYSTEMS ORD GBP0.025 GB 5,329 $94,445.57
BANK AMERICA CORP FR . 20320422 2.687% US 2,720,000 $2,281,916.80
BEIERSDORF AG NPV DE 813 $127,402.27
BLACKROCK INC US 751 $579,794.53
BNSF FUNDING TRUST GTD PFD SECS 20551215 6.613% US 1,540,000 $1,523,491.20
BORR IHC LTD SR SEC A 20281115 10.000% US 336,554.88 $352,285.46
BRENNTAG AG NPV DE 568 $40,684.64
BROOGE PETROLEUM AND GAS AE 427,745 $367,860.70
CANADIAN NATL RY CO US 10,810 $1,376,437.30
CAPITAL ONE FINL CORP SR GLBL NT. 20300201 5.700% US 2,940,000 $2,934,531.60
CARETRUST REIT INC US 1,962 $50,168.34
CELLNEX TELECOM SA EUR0.25 ES 2,935 $106,834.49
CENOVUS ENERGY INC SR NT . 20391115 6.750% US 2,110,000 $2,256,265.20
CF HIPPOLYTA ISSUER - B- . 20600715 2.280% US 2,698,356 $2,502,671.76
CIM TR -INV A- FLT 20490225 4.000% US 60,328.89 $56,007.77
CITIGROUP INC SR GLBL NT 20270609 1.462% US 2,490,000 $2,297,398.50
CITIZENS BK NA PROVIDENCE RI SR GLBL NT 20280809 4.575% US 1,470,000 $1,411,993.80
CLEANAWAY WASTE MG NPV AU 49,875 $92,542.54
COCA COLA CO US 27,680 $1,741,902.40
COGENT IPV LLC, - A- . 20540525 7.924% US 850,000 $859,202.87
COMMONBOND ST LN TR -A-GS A- . 20470125 2.540% US 658,620.19 $572,784.33
CONSTELLATION BRANDS INC US 3,599 $900,577.77
COPART INC US 17,932 $951,471.92
CROWN CASTLE INTL CORP NEW US 449 $46,022.50
CSMC TRUST -IVR A- FLT 20430525 2.500% US 286,816.44 $241,200.06
CSMC TRUST -TH A- FLT 20430225 2.130% US 158,770.32 $130,305.75
CSX CORP US 35,468 $1,197,045.00
DATABANK ISSUER LLC - A- . 20511025 2.400% US 1,630,000 $1,465,662.10
DATABANK ISSUER LLC - A- . 20530225 5.116% US 1,500,000 $1,421,869.05
DEUTSCHE BOERSE ADR US 46,217 $917,684.75
DEUTSCHE BOERSE AG NPV(REGD) DE 816 $162,021.89
DIGITAL RLTY TR INC US 719 $104,499.46
DIGITALBRIDGE GROUP INC CL A NEW US 2,369 $32,313.16
DOLLARAMA INC COM NPV CA 1,252 $118,481.46
ELECTRONIC ARTS INC US 10,012 $1,330,394.56
ENERGY TRANSFER L P SR GLBL A 20310201 7.375% US 1,400,000 $1,453,466.00
ENERGY TRANSFER L P SR NT . 20420201 6.500% US 2,090,000 $2,164,654.80
EQUINIX INC US 497 $379,201.06
EQUITY COMWLTH US 2,599 $50,186.69
EQUITY LIFESTYLE PPTYS INC US 1,467 $92,083.59
EQUITY RESIDENTIAL US 1,350 $87,790.50
EVERGY INC COM US 16,852 $921,130.32
EXPERIAN ORD USD0.10 GB 1,932 $88,725.79
EXTRA SPACE STORAGE INC US 630 $91,205.10
FHLMC GIANT MBS GOLD COMB . 20380201 6.000% US 119,742.17 $122,289.09
FHLMC GIANT MBS GOLD COMB . 20400401 6.000% US 16,685.59 $17,007.29
FHLMC GIANT MBS GOLD COMB . 20400501 6.000% US 97,799.23 $99,878.44
FHLMC MBS GOLD CASH . 20331201 4.500% US 31,948.49 $31,285.88
FHLMC MBS GOLD CASH . 20340501 4.500% US 315,830 $309,213.36
FHLMC MBS GOLD COMB . 20400701 4.500% US 410,916.38 $396,620.60
FHLMC REMIC SERIES CP . 20490625 2.500% US 1,793,049.63 $1,514,842.38
FHLMC SUPER Y FIXED . 20500201 3.000% US 2,998,625.15 $2,559,956.28
FHLMC SUPER Y FIXED . 20520601 4.500% US 2,085,665.23 $1,950,868.69
FHLMC SUPER Y FIXED . 20520701 5.500% US 3,578,740.83 $3,524,379.76
FHLMC SUPER Y FIXED . 20521201 5.000% US 1,231,267.57 $1,184,910.35
FHLMC UMBS Y FIXED . 20420701 3.500% US 1,167,692.83 $1,055,337.43
FHLMC UMBS Y FIXED . 20420801 4.500% US 1,725,228.66 $1,647,938.42
FHLMC UMBS Y FIXED . 20421001 4.000% US 2,390,236.48 $2,209,343.38
FIFTH THIRD BANCORP SR GLBL NT 20281027 6.361% US 545,000 $554,690.10
FIN OF AMER STRU SECS -S A . 20721225 3.000% US 1,144,006.97 $1,088,383.52
FINECOBANK SPA EUR0.33 IT 4,755 $76,630.31
FIRST INDUSTRIAL REALTY TRUS US 602 $28,366.24
FISERV INC US 5,801 $868,757.76
FLAGSHIP CMNTYS RE TR UNIT (USD) CA 3,001 $44,714.90
FLEXENTIAL ISSUER LLC - A- . 20511127 3.250% US 2,600,000 $2,382,594.50
FNMA MEGA WGTD AVG MEGA . 20490101 5.642% US 487,600.44 $485,118.55
FNMA REMC TRUST - WJ . 20501025 1.500% US 1,079,548.46 $854,608.56
FNMA REMIC TRUST - KP . 20470725 3.500% US 40,242.5 $38,609.83
FNMA REMIC TRUST - PA . 20480325 3.000% US 1,646,252.91 $1,397,183.57
FNMA SUPER INT YEAR . 20241001 5.500% US 83.91 $84.12
FNMA SUPER INT YEAR . 20430501 5.000% US 3,494,914.33 $3,402,998.08
FNMA SUPER LNG YEAR . 20380401 5.000% US 6,109.71 $5,997.60
FNMA SUPER LNG YEAR . 20380401 6.000% US 147,484.13 $150,424.96
FNMA SUPER LNG YEAR . 20380701 6.000% US 179,239.7 $182,811.95
FNMA SUPER LNG YEAR . 20381001 6.000% US 25,584.75 $26,077.00
FNMA SUPER LNG YEAR . 20390701 6.000% US 165,458.34 $168,754.27
FNMA SUPER LNG YEAR . 20400101 6.000% US 170,416.34 $173,814.44
FNMA SUPER LNG YEAR . 20400201 6.000% US 71,679.66 $73,109.67
FNMA SUPER LNG YEAR . 20400601 6.000% US 289,138.28 $294,906.59
FNMA SUPER LNG YEAR . 20411201 4.500% US 316,528.74 $305,105.22
FNMA SUPER LNG YEAR . 20430601 4.000% US 165,423.77 $153,941.71
FNMA SUPER LNG YEAR . 20491201 3.500% US 2,821,791.7 $2,527,535.26
FNMA SUPER LNG YEAR . 20501201 3.000% US 1,804,353.7 $1,541,188.71
FNMA SUPER LNG YEAR . 20510801 4.000% US 3,587,371.5 $3,300,166.54
FNMA SUPER LNG YEAR . 20520401 3.500% US 3,825,625.24 $3,397,882.08
FNMA SUPER LNG YEAR . 20520401 3.500% US 3,286,953.48 $2,925,388.60
FNMA UMBS INT YEAR . 20240901 4.500% US 653.36 $647.44
FNMA UMBS INT YEAR . 20340201 4.500% US 214,291.39 $209,857.70
FNMA UMBS INT YEAR . 20340501 4.500% US 201,222.79 $196,884.43
FNMA UMBS INT YEAR . 20401201 2.500% US 2,244,036.91 $1,932,631.91
FNMA UMBS INT YEAR . 20420601 3.500% US 1,150,357.92 $1,043,535.68
FNMA UMBS INT YEAR . 20420601 4.000% US 2,888,230.35 $2,669,764.61
FNMA UMBS INT YEAR . 20430201 5.000% US 1,741,618.7 $1,696,423.69
FNMA UMBS LNG YEAR . 20360901 6.500% US 31,522.99 $32,416.67
FNMA UMBS LNG YEAR . 20380101 5.000% US 5,444.93 $5,361.24
FNMA UMBS LNG YEAR . 20380501 5.000% US 22,403.61 $21,926.19
FNMA UMBS LNG YEAR . 20380801 6.000% US 2,182.28 $2,203.58
FNMA UMBS LNG YEAR . 20380901 6.000% US 8,324.97 $8,358.94
FNMA UMBS LNG YEAR . 20380901 6.000% US 15,617.91 $15,693.34
FNMA UMBS LNG YEAR . 20381201 6.000% US 6,235 $6,359.39
FNMA UMBS LNG YEAR . 20390101 5.000% US 11,166.18 $10,995.56
FNMA UMBS LNG YEAR . 20390101 5.000% US 31,435.83 $30,874.07
FNMA UMBS LNG YEAR . 20390201 5.000% US 13,113.28 $12,897.96
FNMA UMBS LNG YEAR . 20390801 6.000% US 106,966.92 $108,373.53
FNMA UMBS LNG YEAR . 20391101 5.000% US 25,523.32 $25,104.23
FNMA UMBS LNG YEAR . 20391101 5.000% US 11,971.16 $11,774.59
FNMA UMBS LNG YEAR . 20391201 4.500% US 280,131.31 $270,021.37
FNMA UMBS LNG YEAR . 20391201 5.000% US 15,570.11 $15,314.45
FNMA UMBS LNG YEAR . 20400101 5.000% US 21,097.87 $20,751.44
FNMA UMBS LNG YEAR . 20410801 4.000% US 146,540.96 $136,045.70
FNMA UMBS LNG YEAR . 20420101 3.500% US 73,016.93 $66,441.76
FNMA UMBS LNG YEAR . 20460501 4.000% US 76,620.06 $71,066.64
FNMA UMBS LNG YEAR . 20461001 4.000% US 96,990.67 $89,833.73
FNMA UMBS LNG YEAR . 20461201 4.000% US 125,627.94 $115,826.45
FNMA UMBS LNG YEAR . 20470201 4.500% US 123,240.74 $117,641.91
FNMA UMBS LNG YEAR . 20471101 4.500% US 574,703.04 $546,266.73
FNMA UMBS LNG YEAR . 20500401 3.000% US 3,949,901.8 $3,371,320.18
FNMA UMBS LNG YEAR . 20500501 3.000% US 4,041,018.92 $3,446,989.14
FNMA UMBS LNG YEAR . 20520501 3.500% US 1,335,275.7 $1,170,102.10
FNMA UMBS LNG YEAR . 20520501 4.000% US 3,568,965.73 $3,242,084.16
FNMA UMBS LNG YEAR . 20521101 5.500% US 913,375.23 $900,176.96
GLOBANT S A US 665 $107,144.80
GNMA PASS-THRU X SINGLE FAMILY . 20371115 5.500% US 24,077.4 $24,399.80
GOLDEN PEAR FUNDING HOLDCO LLC SR A NT 20280302 10.000% US 230,000 $214,291.00
GOODMAN GROUP NPV (STAPLED UNITS) AU 1,555 $34,664.80
GS MBS TR -PJ A- FLT 20520225 2.500% US 1,132,317.97 $967,587.45
GS MBS TR -PJ A- FLT 20520525 2.500% US 1,793,796.15 $1,519,450.28
GS MRTG BCK SEC TR -INV A- FLT 20511225 5.000% US 1,398,706.62 $1,292,504.92
GS MTG -BACK SEC TR -PJ A- FLT 20511125 2.500% US 1,143,111.37 $978,305.57
HALMA ORD GBP0.10 GB 4,293 $121,669.77
HAWAII ST TAXABLE GO REF BDS G 20381001 2.682% US 2,660,000 $1,987,871.20
HDFC BANK LTD US 22,092 $1,278,905.88
HEINEKEN N V US 31,501 $1,571,017.87
HEINEKEN NV NL 1,494 $149,018.92
HELIOS TOWERS PLC ORD GBP0.01 GB 26,105 $41,479.63
HUMANA INC US 1,916 $686,157.92
HUNTINGTON BANCSHARES INC GLBL NT . 20300204 2.550% US 1,650,000 $1,396,791.00
IIP OPER PARTNERSHIP L P SR GLBL NT. 20260525 5.500% US 460,000 $437,593.40
IMCD NV EUR0.16 NL 757 $114,558.81
IMPERIAL FUND MTG TR -NQM A- FLT 20561125 1.595% US 1,235,474.83 $1,032,889.45
IMPERIAL FUND MTG TR -NQM A- FLT 20670225 2.493% US 2,296,183.5 $2,007,302.95
INFINEON TECHNOLOGIES AG US 30,015 $1,199,909.66
INFINEON TECHNOLOGY DE 3,287 $131,405.13
INFRABUILD AUSTRALIA PTY LTD SR A NT 20281115 14.500% AU 350,000 $363,531.00
INTERCONTINENTAL EXCHANGE INC COM US 5,873 $786,394.70
INTERMED CAP GRP ORD GBP0.2625 GB 3,378 $99,350.09
INTUITIVE SURGICAL INC US 1,403 $564,174.36
INVITATION HOMES INC US 3,880 $134,985.20
ISHARES TR BROAD USD HIGH US 167,405 $6,081,823.65
ITALY REP GLBL NT . 20241017 2.375% IT 600,000 $592,308.00
JAPAN (2 YEAR ISSUE) JP 200,000,000 $1,268,191.80
JEFFERIES FINANCIAL GROUP INC SR GLBL NT. 20340414 6.200% US 2,110,000 $2,116,393.30
JOHNSON AND JOHNSON US 12,268 $1,799,347.56
JP MORGAN MTG TR - -A- FLT 20290625 3.000% US 173,875.13 $165,873.99
JP MORGAN MTG TR - -A- FLT 20470825 3.500% US 29,006.14 $25,495.13
JP MORGAN MTG TR - A- FLT 20481225 3.500% US 65,399.18 $57,401.35
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% US 3,460,000 $3,317,205.80
KEYBANK NATIONAL ASSOCIATION SR GLBL NT 20271115 5.850% US 1,420,000 $1,410,216.20
KEYENCE CORP JP 300 $134,951.80
L3HARRIS TECHNOLOGIES INC COM US 8,030 $1,805,384.90
LEXINGTON CORP PPTYS TR US 7,439 $63,231.50
LIBRA SOL LLC - A . 20341015 6.850% US 433,438.29 $432,409.09
LIBRA SOL LLC - A . 20350215 7.000% US 521,696.17 $520,432.73
LONZA GROUP AG US 11,187 $603,158.29
LONZA GROUP AG CHF1(REGD) CH 202 $108,909.60
MASCO CORP US 8,013 $560,268.96
MASSMUTUAL GLBL FDG II MTN A NT . 20290117 4.850% US 730,000 $719,115.70
MASTERCARD INCORPORATED CL A US 5,371 $2,401,212.97
MERCADOLIBRE INC US 671 $1,157,864.18
META PLATFORMS INC CL A US 5,076 $2,369,629.08
METROPOLITAN LIFE GLOBAL FDG I FR . 20290108 4.850% US 730,000 $719,320.10
MEX BONOS DESARR FIX RT MX 908,000 $47,640.78
MICRON TECHNOLOGY INC US 9,657 $1,207,125.00
MICROSOFT CORP US 4,306 $1,787,549.78
MID-AMER APT CMNTYS INC US 360 $48,135.60
MONARCH CASINO AND RESORT INC US 565 $37,838.05
MONDELEZ INTL INC US 7,685 $526,653.05
MOODYS CORP US 3,461 $1,373,982.39
MSCI INC US 1,879 $930,443.22
NAVIENT CORPORATION SR GLBL NT 20250625 6.750% US 485,000 $485,552.90
NESTLE S A SPONSORED ADR US 8,534 $903,963.95
NESTLE SA CHF0.10 (REGD) CH 963 $102,005.52
NEW FORTRESS ENERGY INC SR SEC GLBL 20290315 8.750% US 345,000 $330,734.25
NEW RESI MTG LN TR - A- FLT 20550825 3.750% US 270,056.79 $248,493.19
NEW RESI MTG LN TR - A- FLT 20561125 3.750% US 392,803.2 $361,093.42
NEW RESI MTG LN TR - A-FXD FLT 20541125 3.750% US 276,363.42 $254,785.32
NEW YORK LIFE GLOBAL FDG FR . 20290129 4.700% US 730,000 $719,415.00
NEWCASTLE COAL INFRASTRUCTURE SR SEC A NT 20270929 4.400% US 1,634,670.04 $1,539,908.22
NORTHROP GRUMMAN CORP US 1,711 $771,267.47
NYMT LN TR -CP A- . 20610725 2.042% US 1,367,709.91 $1,235,500.78
OBX TRUST -INV A- FLT 20511225 3.000% US 2,108,321.04 $1,719,681.57
OBX TRUST -NQM A- . 20631125 5.928% US 1,372,150.99 $1,363,548.98
OPEN INFRA US ASSETS AB (PUBL) 11.0 20270222 US 400,000 $400,058.32
OXFORD FIN CR FD III -A LP A- . 20320114 6.675% US 220,000 $218,895.38
OXFORD FIN FDG LLC - A- . 20280215 3.100% US 95,017.97 $93,688.57
OXFORD FIN FDG TR - A- . 20310215 6.716% US 2,500,000 $2,505,479.00
OXFORD FIN FDG TR LLC - A- . 20300215 3.602% US 2,639,191.56 $2,527,207.76
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% US 2,550,000 $2,656,105.50
PCG - LLC SR SEC GLBL 20290725 11.325% US 4,291,518.19 $4,290,874.46
PEAR - LLC A . 20350716 0.000% US 1,152,876.43 $1,157,926.37
PEAR LLC - A . 20360215 6.950% US 662,316.8 $659,119.20
PEAR, LLC - A . 20340115 2.600% US 1,321,978.47 $1,281,691.84
PELORUS FUND REIT LLC CR SEN SR GLBL 20260930 7.000% US 470,000 $446,866.60
PHILIP MORRIS INTL INC US 15,117 $1,532,561.46
PMT LOAN TRUST -J A- FLT 20430925 3.500% US 571,061.44 $506,302.04
PNC FINL SVCS GROUP INC SR GLBL NT 20260612 5.812% US 1,990,000 $1,992,626.80
PROLOGIS INC US 2,786 $307,825.14
PROVIDENT FDG MTG TR - A-A FLT 20510525 2.000% US 1,420,994.95 $1,189,563.75
PROVIDENT FND MTG TR -INV A- FLT 20510825 2.500% US 2,300,068.75 $1,802,248.77
PUBLIC STORAGE INC US 485 $132,807.55
REALTY INCOME CORP US 896 $47,541.76
REXFORD INDL RLTY INC US 1,873 $84,959.28
ROCHE HLDG LTD SPONSORED ADR US 36,352 $1,163,518.46
ROCHE HLDGS AG GENUSSCHEINE NPV CH 489 $125,210.89
S AND P GLOBAL INC US 1,777 $759,685.27
SBA COMMUNICATIONS CORP NEW US 693 $136,299.24
SBA TOWER TR - - . 20521115 6.599% US 2,540,000 $2,590,548.03
SEQUOIA MTG TR - A FLT 20430225 1.874% US 139,931.86 $113,362.51
SEQUOIA MTG TR - A- FLT 20430525 3.000% US 1,090,164.62 $937,009.57
SEQUOIA MTG TR - A- FLT 20430625 3.000% US 167,030.05 $143,195.90
SEQUOIA MTG TR - A- FLT 20430625 3.000% US 198,856.48 $171,132.15
SEQUOIA MTG TR - A- FLT 20500225 3.500% US 61,584.51 $53,662.07
SERVICENOW INC US 1,629 $1,070,138.97
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% US 4,505,000 $3,736,897.50
SIRIUSPOINT LTD SR GLBL NT 20290405 7.000% US 1,440,000 $1,451,678.40
SOFTCAT PLC ORD GBP0.0005 GB 3,019 $63,806.93
SONY CORP NPV JP 1,200 $98,469.57
SOUTH CAROLINA ST PUB SVCS AUT TAXABLE REF OBLIGS B 20261201 1.852% US 3,460,000 $3,188,147.80
STARWOOD RTL PPTY TR -STAR A FLT 20271115 8.494% US 1,509,868.63 $921,019.86
STORE MSTR FDG I-VII - A- . 20491120 2.820% US 2,081,935.44 $1,929,536.31
SUN COMMUNITIES INC US 1,102 $130,024.98
SUTHERLAND COML MTG TF -SB A FLT 20410425 2.860% US 1,421,160.82 $1,315,026.40
TAIWAN SEMICONDUCTOR MFG LTD US 16,225 $2,450,624.00
TECHTRONIC INDS LTD US 8,504 $520,130.15
TECHTRONIC INDUSTRIES HK 10,000 $122,326.11
TENCENT HLDGS LIMI HKD0.00002 HK 3,200 $147,169.69
TENCENT HLDGS LTD FR . 20290411 3.975% US 2,840,000 $2,686,782.00
TERRENO RLTY CORP US 1,449 $81,984.42
THERMO FISHER SCIENTIFIC INC COM US 990 $562,300.20
TOWD PT MTG TR -HY A FLT 20481026 6.444% US 408,985.21 $414,528.64
TRUIST FINL CORP FR . 20290607 1.887% US 2,500,000 $2,172,225.00
UDR INC US 926 $35,762.12
UNION PAC CORP US 3,910 $910,326.20
UNITED AIR PASS THRU TR - B . 20291101 3.500% US 294,022.53 $272,377.62
UNITED AIRLS INC -B B . 20270901 4.600% US 63,664.97 $61,789.81
UNITED STATES TREAS BDS . 20420215 2.375% US 9,544,000 $6,840,375.68
UNITED STATES TREAS BDS TIPS . 20270115 2.375% US 8,527,527.62 $8,512,007.52
UNITED STATES TREAS NTS . 20241115 2.250% US 6,372,000 $6,285,085.92
UNITED STATES TREAS NTS . 20251115 2.250% US 17,508,000 $16,824,137.52
UNITED STATES TREAS NTS . 20271115 2.250% US 9,057,000 $8,370,298.26
UNITED STATES TREAS NTS . 20291115 1.750% US 9,617,000 $8,358,519.38
UNITED STATES TREAS NTS . 20301115 0.875% US 11,003,000 $8,782,154.48
UNITED STATES TREAS NTS 20261115 2.000% US 14,957,000 $14,000,649.42
UNITEDHEALTH GROUP INC US 1,091 $540,448.67
US BANCORP FR . 20290201 4.653% US 2,150,000 $2,093,648.50
US CLAIMS LITIGATION FDG LLC SR A NT 20280317 10.250% US 250,000 $232,225.00
US DOLLARS US 7,465,382.02 $7,465,382.02
VENTAS INC US 1,093 $54,934.18
VERTEX PHARMACEUTICALS INC US 1,329 $605,146.86
VISA INC US 6,442 $1,755,187.32
WARNERMEDIA HLDGS INC SR GLBL NT 20290315 4.054% US 2,380,000 $2,188,624.20
WELLS FARGO n CO FR . 20280422 5.707% US 2,100,000 $2,112,579.00
WELLTOWER INC US 1,442 $149,492.14
WINWATER MTG LN TR - A- FLT 20450120 3.500% US 91,746.21 $81,731.43

Investments will change over time.

Distributions

  • 2024 Distribution Calendar
  • 2024 Distributions
  • 2023 Distributions
  • 2022 Distributions
  • 2021 Distributions
  • 2020 Distributions
  • Tax Letter
  • Target Income Merger into Pro Blend Conservative
  • Target 2015 Merger into Pro Blend Conservative
  • Pro-Blend Conservative Series Stock Split

A Word About Risk

All investments involve risks, including possible loss of principal. Because the fund invests in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in the fund will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.

Sign up to receive the latest financial planning and investment tips and news.

View all Preferences