small/mid-cap indexed equity fund

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ML_26 Page 1 of 49 Small/Mid-Cap Indexed Equity Fund .......................................................................................................................................................................................................................................................................................................................................... .......................................................................................................................................................................................................................................................................................................................................... Benchmark Russell Small Cap Complete TR USD Overall Morningstar RatingMorningstar Return Morningstar Risk QQQ Above Average Above Average Rated against 371 Mid-Cap Blend funds. Investment Strategy The Fund will typically attempt to invest in the securities comprising the Russell Small Cap Completeness Index, in approximately the same proportions as they are represented in the Index. In some cases, it may not be possible or practicable to purchase all of the securities comprising the Index, or to hold them in the same weightings as they represent in the Index. In those circumstances, the Fund may employ a sampling or optimization technique to construct the portfolio. The index is composed of all of the stocks in the Russell 3000 Index minus those in the S&P 500 Index, and is a benchmark for the small- to mid-cap sector of the U.S. equity market. The Fund may also generate some income by lending securities to creditworthy financial institutions. There is no guarantee that the Fund's investment objective will be met. Category Description: Mid-Cap Blend The typical mid-cap blend portfolio invests in U.S. stocks of various sizes and styles, giving it a middle-of-the-road profile. Most shy away from high-priced growth stocks but aren't so price-conscious that they land in value territory. The U.S. mid- cap range for market capitalization typically falls between $1 billion and $8 billion and represents 20% of the total capitalization of the U.S. equity market. The blend style is assigned to portfolios where neither growth nor value characteristics predominate. Volatility Analysis Low Moderate High Investment Category In the past, this investment has shown a wide range of price fluctuations relative to other investments. This investment may experience significant price increases in favorable markets or undergo large price declines in adverse markets. Some of this risk may be offset by owning other investments that follow different investment strategies. Best 3 Month Return Worst 3 Month Return 31.21% -38.43% (Mar '09 - May '09) (Sep '08 - Nov '08) Operations Sales Charge None Investment Management Expense Ratio 0.03% of fund assets ¹ Administrative Expense Ratio . ¹ Fund Inception Date 04-02-01 ................................................................................................ Management Company State Street Global Advisors Telephone 800-444-4015 Performance 5 10 15 20 0 -5 -10 -15 Total Return% as of 09-30-18 Investment Benchmark Average annual, if greater than 1 year 3 Month 1 Year 3 Year 5 Year 10 Year Since Inception 4.27 16.03 16.16 11.36 12.27 9.72 Fund Return % 4.30 16.13 16.27 11.43 12.33 . Benchmark Return % 3.94 11.68 12.85 9.78 10.76 . Category Average % .......................................................................................................................................................................................................... . . QQQQ QQQ QQQ . Morningstar Rating™ . . 371 334 230 . # of Funds in Category Calendar Year Returns 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 09-18 Total Return % -38.84 37.57 26.65 -3.85 18.01 38.38 7.40 -3.49 16.52 18.12 10.59 Benchmark -38.98 37.68 26.64 -3.92 18.05 38.50 7.40 -3.41 16.59 18.27 10.68 Growth of $10,000 as of 09-30-18 Investment Benchmark 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 09 - 18 50 40 30 20 10 0 Portfolio Analysis 09-30-18 Composition as of 09-30-18 % Assets U.S. Stocks 96.7 Non-U.S. Stocks 1.7 Bonds 0.0 Cash 1.6 Other 0.0 Morningstar Equity Style Box™ as of 09-30-18 % Mkt Cap Large Mid Small Value Blend Growth Giant 0.56 ........................................................ Large 7.07 Medium 56.05 Small 31.93 ........................................................ Micro 4.39 Top 10 Holdings as of 09-30-18 % Assets State Street Corporation Short Term Investment Fund 12-31-30 1.50 S+p Mid 400 Emini Dec18 Xcme 20181221 12-21-18 0.85 E-Mini Russ 2000 Dec18 Xcme 20181221 12-21-18 0.81 Tesla Inc 0.66 ServiceNow Inc 0.63 .......................................................................................... Worldpay Inc Class A 0.56 NXP Semiconductors NV 0.55 Square Inc A 0.53 T-Mobile US Inc 0.40 Las Vegas Sands Corp 0.39 ....................................................................................................... Total Number of Stock Holdings 2519 Total Number of Bond Holdings 0 Annual Turnover Ratio % 9.67 Lockheed Martin Fund Assets ($mil) 3,217.0 Morningstar Sectors as of 09-30-18 % Fund h Cyclical 42.83 ........................................................................................................ r Basic Materials 5.16 t Consumer Cyclical 13.56 y Financial Services 14.59 u Real Estate 9.52 j Sensitive 39.82 ........................................................................................................ i Communication Services 1.56 o Energy 4.51 p Industrials 13.67 a Technology 20.08 k Defensive 17.33 ........................................................................................................ s Consumer Defensive 3.35 d Healthcare 11.58 f Utilities 2.40 Notes This profile reflects past performance and should not be considered indicative of future performance. Annualized total returns measure net investment and capital gain or loss from portfolio investments as an annualized average, assuming the reinvestment of dividends. The Morningstar Rating that is reflected on this page is hypothetical. The Rating is considered hypothetical because Morningstar does not independently analyze the "custom fund" universe. Rather the Rating is assigned to the "custom fund" as a means to compare the institutional funds with the universe of mutual funds that Morningstar rates. The Composition, Credit Analysis and Morningstar Sectors, where applicable, may not add up to exactly 100% due to rounding. 1 See summary plan description and any subsequent summary of material modifications/prospectus for explanation of investment management and administrative expenses. ©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of information. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß ®

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Page 1: Small/Mid-Cap Indexed Equity Fund

ML_26 Page 1 of 49

Small/Mid-Cap Indexed Equity Fund ....................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................BenchmarkRussell Small Cap Complete TR USD

Overall Morningstar Rating™ Morningstar Return Morningstar Risk

QQQ Above Average Above AverageRated against 371 Mid-Cap Blend funds.

Investment StrategyThe Fund will typically attempt to invest in the securities comprising the Russell Small Cap Completeness Index, in approximately the same proportions as they are represented in the Index. In some cases, it may not be possible or practicable to purchase all of the securities comprising the Index, or to hold them in the same weightings as they represent in the Index. In those circumstances, the Fund may employ a sampling or optimization technique to construct the portfolio. The index is composed of all of the stocks in the Russell 3000 Index minus those in the S&P 500 Index, and is a benchmark for the small- to mid-cap sector of the U.S. equity market. The Fund may also generate some income by lending securities to creditworthy financial institutions. There is no guarantee that the Fund's investment objective will be met.

Category Description: Mid-Cap Blend

The typical mid-cap blend portfolio invests in U.S. stocks ofvarious sizes and styles, giving it a middle-of-the-road profile.Most shy away from high-priced growth stocks but aren't soprice-conscious that they land in value territory. The U.S. mid-cap range for market capitalization typically falls between $1billion and $8 billion and represents 20% of the totalcapitalization of the U.S. equity market. The blend style isassigned to portfolios where neither growth nor valuecharacteristics predominate.

Volatility Analysis

Low Moderate High

Investment

Category

In the past, this investment has shown a wide range of pricefluctuations relative to other investments. This investmentmay experience significant price increases in favorablemarkets or undergo large price declines in adverse markets.Some of this risk may be offset by owning other investmentsthat follow different investment strategies.

Best 3 Month Return Worst 3 Month Return

31.21% -38.43%(Mar '09 - May '09) (Sep '08 - Nov '08)

OperationsSales Charge NoneInvestment ManagementExpense Ratio

0.03% of fund assets ¹

Administrative ExpenseRatio

. ¹

Fund Inception Date 04-02-01................................................................................................Management Company State Street Global AdvisorsTelephone 800-444-4015

Performance

5

10

15

20

0

-5

-10

-15

YTD YTD YTD YTD YTD YTD

Total Return%as of 09-30-18

InvestmentBenchmark

Average annual, if greaterthan 1 year

3 Month 1 Year 3 Year 5 Year 10 Year Since Inception4.27 16.03 16.16 11.36 12.27 9.72 Fund Return %4.30 16.13 16.27 11.43 12.33 . Benchmark Return %3.94 11.68 12.85 9.78 10.76 . Category Average %........................................................................................................................................................................................................... . QQQQ QQQ QQQ . Morningstar Rating™. . 371 334 230 . # of Funds in Category

Calendar Year Returns 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 09-18

Total Return % -38.84 37.57 26.65 -3.85 18.01 38.38 7.40 -3.49 16.52 18.12 10.59Benchmark -38.98 37.68 26.64 -3.92 18.05 38.50 7.40 -3.41 16.59 18.27 10.68

Growth of $10,000 as of 09-30-18 Investment Benchmark

2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 09 - 18

50

40

30

20

10

0

Portfolio Analysis 09-30-18

Composition as of 09-30-18 % AssetsU.S. Stocks 96.7Non-U.S. Stocks 1.7Bonds 0.0Cash 1.6Other 0.0

Morningstar Equity Style Box™ as of 09-30-18 % Mkt Cap

LargeM

idSm

all

Value Blend Growth

Giant 0.56........................................................Large 7.07Medium 56.05Small 31.93........................................................Micro 4.39

Top 10 Holdings as of 09-30-18 % Assets

State Street Corporation Short Term Investment Fund 12-31-30

1.50

S+p Mid 400 Emini Dec18 Xcme 20181221 12-21-18

0.85

E-Mini Russ 2000 Dec18 Xcme 20181221 12-21-18 0.81Tesla Inc 0.66ServiceNow Inc 0.63..........................................................................................Worldpay Inc Class A 0.56NXP Semiconductors NV 0.55Square Inc A 0.53T-Mobile US Inc 0.40Las Vegas Sands Corp 0.39.......................................................................................................Total Number of Stock Holdings 2519Total Number of Bond Holdings 0Annual Turnover Ratio % 9.67Lockheed Martin Fund Assets ($mil) 3,217.0

Morningstar Sectors as of 09-30-18 % Fund

h Cyclical 42.83........................................................................................................r Basic Materials 5.16t Consumer Cyclical 13.56y Financial Services 14.59u Real Estate 9.52

j Sensitive 39.82........................................................................................................i Communication Services 1.56o Energy 4.51p Industrials 13.67a Technology 20.08

k Defensive 17.33........................................................................................................s Consumer Defensive 3.35d Healthcare 11.58f Utilities 2.40

NotesThis profile reflects past performance and should not be considered indicative of future performance.Annualized total returns measure net investment and capital gain or loss from portfolio investments as an annualized average, assuming the reinvestment of dividends.The Morningstar Rating that is reflected on this page is hypothetical. The Rating is considered hypothetical because Morningstar does not independently analyze the "custom fund" universe. Rather the Rating is assigned to the "custom fund" as a means tocompare the institutional funds with the universe of mutual funds that Morningstar rates.The Composition, Credit Analysis and Morningstar Sectors, where applicable, may not add up to exactly 100% due to rounding.1See summary plan description and any subsequent summary of material modifications/prospectus for explanation of investment management and administrative expenses.

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 2: Small/Mid-Cap Indexed Equity Fund

Page 2 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Tesla Inc 0.66 138,553,876 523,299 Large United States t Consumer CyclicalServiceNow Inc 0.63 132,331,957 676,440 Large United States a TechnologyWorldpay Inc Class A 0.56 116,077,497 1,146,218 Large United States p IndustrialsNXP Semiconductors NV 0.55 113,655,150 1,329,300 Giant China a TechnologySquare Inc A 0.53 109,441,397 1,105,357 Large United States a Technology................................................................................................................................................................................................................................................................................................T-Mobile US Inc 0.40 83,364,225 1,187,863 Large United States i Communication ServicesLas Vegas Sands Corp 0.39 81,930,874 1,380,935 Large United States t Consumer CyclicalWorkday Inc Class A 0.39 81,916,239 561,147 Large United States a TechnologyPalo Alto Networks Inc 0.37 77,340,318 343,338 Large United States a TechnologyDell-VMWare Tracking Stock V 0.36 75,000,143 772,242 Large United States a Technology................................................................................................................................................................................................................................................................................................Splunk Inc 0.32 67,714,195 560,038 Medium United States a TechnologyBiomarin Pharmaceutical Inc 0.32 66,177,370 682,452 Medium United States d HealthcareIAC/InterActiveCorp 0.30 62,460,438 288,208 Medium United States a TechnologyMarkel Corp 0.30 62,456,338 52,551 Medium United States y Financial ServicesLululemon Athletica Inc 0.30 61,525,864 378,644 Large United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Maxim Integrated Products Inc 0.29 60,691,711 1,076,285 Medium United States a TechnologyCelanese Corp 0.29 59,835,864 524,876 Medium United States r Basic MaterialsFirst Republic Bank 0.29 59,601,792 620,852 Medium United States y Financial ServicesCheniere Energy Inc 0.28 59,131,473 850,935 Medium United States o EnergyCoStar Group Inc 0.28 58,230,789 138,368 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................TD Ameritrade Holding Corp 0.28 57,579,100 1,089,894 Large United States y Financial ServicesXPO Logistics Inc 0.26 54,398,580 476,470 Medium United States p IndustrialsTransUnion 0.25 52,376,893 711,836 Medium United States p IndustrialsGoDaddy Inc A 0.25 51,682,704 619,771 Medium United States a TechnologyFirst Data Corp Class A 0.25 51,506,071 2,104,866 Large United States p Industrials................................................................................................................................................................................................................................................................................................Diamondback Energy Inc 0.25 51,465,616 380,691 Medium United States o EnergyCDW Corp 0.24 50,992,419 573,464 Medium United States a TechnologyVeeva Systems Inc Class A 0.24 50,588,296 464,667 Medium United States a TechnologyYum China Holdings Inc 0.24 50,295,286 1,432,506 Large China t Consumer CyclicalFortinet Inc 0.24 49,686,380 538,489 Medium United States a Technology................................................................................................................................................................................................................................................................................................Annaly Capital Management Inc 0.24 49,563,603 4,844,927 Medium United States u Real EstateGrubHub Inc 0.23 48,414,560 349,261 Medium United States a TechnologyDexCom Inc 0.23 48,352,240 338,033 Medium United States d HealthcareDomino's Pizza Inc 0.23 48,079,227 163,091 Medium United States t Consumer CyclicalTarga Resources Corp 0.23 48,069,032 853,650 Medium United States o Energy................................................................................................................................................................................................................................................................................................Keysight Technologies Inc 0.23 48,033,845 724,711 Medium United States a TechnologyJack Henry & Associates Inc 0.23 47,692,634 297,930 Medium United States p IndustrialsPTC Inc 0.23 47,630,356 448,539 Medium United States a TechnologyTeleflex Inc 0.23 46,949,718 176,443 Medium United States d HealthcareSS&C Technologies Holdings Inc 0.22 45,369,094 798,330 Medium United States a Technology................................................................................................................................................................................................................................................................................................IDEX Corp 0.21 44,706,999 296,741 Medium United States p IndustrialsArch Capital Group Ltd 0.21 44,694,521 1,499,313 Medium United States y Financial ServicesAlly Financial Inc 0.21 44,132,407 1,668,522 Medium United States y Financial ServicesVail Resorts Inc 0.20 42,592,454 155,209 Medium United States t Consumer CyclicalNeurocrine Biosciences Inc 0.20 42,423,160 345,044 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Marvell Technology Group Ltd 0.20 42,178,683 2,185,424 Large China a TechnologyBurlington Stores Inc 0.20 42,078,000 258,274 Medium United States s Consumer DefensiveTrimble Inc 0.20 41,987,010 966,107 Medium United States a TechnologyVMware Inc 0.20 41,566,269 266,348 Large United States a TechnologyOld Dominion Freight Lines Inc 0.20 41,153,068 255,197 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Aramark 0.20 40,730,390 946,778 Medium United States t Consumer CyclicalFidelity National Financial Inc 0.19 40,255,601 1,023,014 Medium United States y Financial ServicesSpirit AeroSystems Holdings Inc 0.19 40,199,770 438,527 Medium United States p IndustrialsAtmos Energy Corp 0.19 39,606,355 421,748 Medium United States f UtilitiesSteel Dynamics Inc 0.19 39,605,555 876,423 Medium United States r Basic Materials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 3: Small/Mid-Cap Indexed Equity Fund

Page 3 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Vistra Energy Corp 0.19 39,525,736 1,588,655 Medium United States f UtilitiesSarepta Therapeutics Inc 0.19 38,746,572 239,902 Medium United States d HealthcareLeidos Holdings Inc 0.18 38,329,094 554,209 Medium United States a TechnologyJazz Pharmaceuticals PLC 0.18 38,286,564 227,720 Medium United States d HealthcareLamb Weston Holdings Inc 0.18 37,802,160 567,600 Medium United States s Consumer Defensive................................................................................................................................................................................................................................................................................................The Ultimate Software Group Inc 0.18 37,608,594 116,728 Medium United States a TechnologyQurate Retail Inc Class A 0.18 37,457,809 1,686,529 Medium United States t Consumer CyclicalAlleghany Corp 0.18 37,201,388 57,011 Medium United States y Financial ServicesLear Corp 0.18 37,187,860 256,468 Medium United States t Consumer CyclicalUGI Corp 0.18 37,147,688 669,569 Medium United States f Utilities................................................................................................................................................................................................................................................................................................STERIS PLC 0.18 37,120,283 324,478 Medium United States d HealthcareBunge Ltd 0.18 37,081,138 539,676 Medium United States s Consumer DefensiveExact Sciences Corp 0.18 36,616,670 463,972 Medium United States d HealthcareAmdocs Ltd 0.18 36,544,607 553,874 Medium United States a TechnologyZebra Technologies Corp 0.17 36,173,229 204,565 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Reinsurance Group of America Inc 0.17 36,137,976 249,986 Medium United States y Financial ServicesCognex Corp 0.17 35,785,197 641,082 Medium United States a TechnologyTyler Technologies Inc 0.17 35,769,448 145,962 Medium United States a TechnologyMolina Healthcare Inc 0.17 35,275,655 237,227 Medium United States d HealthcareWestinghouse Air Brake Technologies Corp 0.17 34,921,579 332,967 Medium United States p Industrials................................................................................................................................................................................................................................................................................................West Pharmaceutical Services Inc 0.17 34,596,664 280,203 Medium United States d HealthcareAtlassian Corporation PLC A 0.16 34,264,392 356,401 Large United States a TechnologyAGNC Investment Corp 0.16 34,153,000 1,833,226 Medium United States u Real EstateLiberty Broadband Corp C 0.16 33,868,199 401,758 Medium United States i Communication ServicesTeledyne Technologies Inc 0.16 33,773,699 136,913 Medium United States a Technology................................................................................................................................................................................................................................................................................................East West Bancorp Inc 0.16 33,235,375 550,528 Medium United States y Financial ServicesRPM International Inc 0.16 33,060,305 509,090 Medium United States r Basic MaterialsFactSet Research Systems Inc 0.16 32,728,549 146,299 Medium United States y Financial ServicesServiceMaster Global Holdings Inc 0.16 32,654,639 526,433 Medium United States p IndustrialsQiagen NV 0.16 32,562,140 859,613 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Sensata Technologies Holding PLC 0.16 32,512,034 656,146 Medium United States a TechnologyVoya Financial Inc 0.16 32,495,256 654,223 Medium United States y Financial ServicesWEX Inc 0.15 32,131,839 160,051 Medium United States p IndustrialsWayfair Inc Class A 0.15 32,120,588 217,516 Medium United States t Consumer CyclicalSun Communities Inc 0.15 32,083,391 315,968 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Camden Property Trust 0.15 32,065,410 342,689 Medium United States u Real EstateSeattle Genetics Inc 0.15 32,041,201 415,472 Medium United States d HealthcareCDK Global Inc 0.15 31,950,643 510,720 Medium United States a TechnologyAthene Holding Ltd A 0.15 31,835,527 616,251 Medium United States y Financial ServicesEquity Lifestyle Properties Inc 0.15 31,663,763 328,292 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................SEI Investments Co 0.15 31,611,307 517,370 Medium United States y Financial ServicesAspen Technology Inc 0.15 31,566,397 277,117 Medium United States a TechnologySirius XM Holdings Inc 0.15 31,520,412 4,987,407 Large United States t Consumer CyclicalGuidewire Software Inc 0.15 31,337,544 310,242 Medium United States a TechnologyNordson Corp 0.15 31,188,606 224,540 Medium United States p Industrials................................................................................................................................................................................................................................................................................................KAR Auction Services Inc 0.15 31,146,242 521,800 Medium United States t Consumer CyclicalLennox International Inc 0.15 31,094,045 142,372 Medium United States p IndustrialsWPX Energy Inc Class A 0.15 30,995,383 1,540,526 Medium United States o EnergyAmerican Financial Group Inc 0.15 30,922,012 278,652 Medium United States y Financial ServicesHD Supply Holdings Inc 0.15 30,783,939 719,419 Medium United States p Industrials................................................................................................................................................................................................................................................................................................NVR Inc 0.15 30,346,366 12,282 Medium United States t Consumer CyclicalAlnylam Pharmaceuticals Inc 0.15 30,270,455 345,869 Medium United States d HealthcareON Semiconductor Corp 0.15 30,257,194 1,641,736 Medium United States a Technologybluebird bio Inc 0.15 30,256,018 207,233 Medium United States d HealthcareService Corp International 0.14 30,159,295 682,337 Medium United States t Consumer Cyclical

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 4: Small/Mid-Cap Indexed Equity Fund

Page 4 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Tableau Software Inc A 0.14 29,983,641 268,334 Medium United States a TechnologyPaycom Software Inc 0.14 29,932,898 192,606 Medium United States a TechnologyPinnacle Foods Inc 0.14 29,782,010 459,528 Medium United States s Consumer DefensiveWR Berkley Corp 0.14 29,477,704 368,794 Medium United States y Financial ServicesEncompass Health Corp 0.14 29,453,330 377,849 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Parsley Energy Inc A 0.14 29,396,162 1,004,997 Medium United States o EnergyIngredion Inc 0.14 29,316,588 279,312 Medium United States s Consumer DefensiveAlcoa Corp 0.14 29,277,880 724,700 Medium United States r Basic MaterialsBio-Techne Corp 0.14 29,267,741 143,392 Medium United States d HealthcareEnergen Corp 0.14 29,246,184 339,401 Medium United States o Energy................................................................................................................................................................................................................................................................................................Donaldson Co Inc 0.14 29,209,991 501,373 Medium United States p IndustrialsGraco Inc 0.14 29,197,073 630,062 Medium United States p IndustrialsLive Nation Entertainment Inc 0.14 29,178,599 535,682 Medium United States t Consumer CyclicalLiberty SiriusXM Group C 0.14 28,674,654 659,946 Medium United States t Consumer CyclicalBlack Knight Inc A 0.14 28,628,086 551,070 Medium United States a Technology................................................................................................................................................................................................................................................................................................Liberty Formula One Group C 0.14 28,488,098 766,015 Medium United States t Consumer CyclicalHubbell Inc 0.14 28,336,876 212,150 Medium United States a TechnologyZendesk Inc 0.14 28,317,782 398,842 Medium United States a TechnologyOGE Energy Corp 0.13 28,119,852 774,225 Medium United States f UtilitiesCarlisle Companies Inc 0.13 28,005,961 229,934 Medium United States p Industrials................................................................................................................................................................................................................................................................................................VICI Properties Inc Ordinary Shares 0.13 27,827,102 1,287,100 Medium United States u Real EstateGaming and Leisure Properties Inc 0.13 27,583,266 782,504 Medium United States u Real EstateFive Below Inc 0.13 27,444,611 211,015 Medium United States t Consumer CyclicalVEREIT Inc Class A 0.13 27,322,342 3,763,408 Medium United States u Real EstateTeradyne Inc 0.13 27,285,397 737,842 Medium United States a Technology................................................................................................................................................................................................................................................................................................The Chemours Co 0.13 27,240,459 690,681 Medium United States r Basic MaterialsEPAM Systems Inc 0.13 27,110,789 196,883 Medium United States a TechnologyThe Middleby Corp 0.13 27,014,748 208,850 Medium United States p IndustrialsBooz Allen Hamilton Holding Corp 0.13 26,807,247 540,142 Medium United States p IndustrialsNational Retail Properties Inc 0.13 26,647,865 594,553 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Zayo Group Holdings Inc 0.13 26,641,732 767,331 Medium United States a TechnologyInvitation Homes Inc 0.13 26,575,004 1,159,974 Medium United States u Real EstateKilroy Realty Corp 0.13 26,482,931 369,409 Medium United States u Real EstateW.P. Carey Inc 0.13 26,427,487 410,939 Medium United States u Real EstateBrown & Brown Inc 0.13 26,369,343 891,760 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Bright Horizons Family Solutions Inc 0.12 26,011,648 220,737 Medium United States t Consumer CyclicalFair Isaac Corp 0.12 25,910,714 113,370 Medium United States a TechnologyUS Foods Holding Corp 0.12 25,780,930 836,500 Medium United States s Consumer DefensiveBio-Rad Laboratories Inc 0.12 25,700,548 82,113 Medium United States d HealthcarePark Hotels & Resorts Inc 0.12 25,617,749 780,553 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Sabre Corp 0.12 25,566,667 980,317 Medium United States a TechnologyAptarGroup Inc 0.12 25,544,400 237,093 Medium United States t Consumer CyclicalAqua America Inc 0.12 25,514,763 691,457 Medium United States f UtilitiesJones Lang LaSalle Inc 0.12 25,418,504 176,126 Medium United States u Real EstateMarketAxess Holdings Inc 0.12 25,400,555 142,308 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Alkermes PLC 0.12 25,346,229 597,225 Medium United States d HealthcareCatalent Inc 0.12 25,095,681 550,948 Medium United States d HealthcarePool Corp 0.12 25,044,516 150,075 Medium United States t Consumer CyclicalIonis Pharmaceuticals Inc 0.12 25,044,102 485,539 Medium United States d HealthcareCIT Group Inc 0.12 25,009,587 484,588 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Post Holdings Inc 0.12 24,940,101 254,387 Medium United States s Consumer DefensiveArrow Electronics Inc 0.12 24,906,081 337,847 Medium United States a TechnologyAcuity Brands Inc 0.12 24,853,320 158,100 Medium United States a TechnologyBerry Global Group Inc 0.12 24,764,695 511,773 Medium United States t Consumer CyclicalSage Therapeutics Inc 0.12 24,756,888 175,270 Medium United States d Healthcare

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 5: Small/Mid-Cap Indexed Equity Fund

Page 5 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Lamar Advertising Co Class A 0.12 24,726,240 317,818 Medium United States u Real EstateOld Republic International Corp 0.12 24,630,689 1,100,567 Medium United States y Financial ServicesIntegrated Device Technology Inc 0.12 24,604,423 523,387 Medium United States a TechnologyWABCO Holdings Inc 0.12 24,521,023 207,911 Medium United States t Consumer CyclicalOmega Healthcare Investors Inc 0.12 24,486,727 747,230 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................The Toro Co 0.12 24,482,273 408,242 Medium United States p IndustrialsAllison Transmission Holdings Inc 0.12 24,415,574 469,440 Medium United States t Consumer CyclicalCommerce Bancshares Inc 0.12 24,331,275 368,544 Medium United States y Financial ServicesHerbalife Nutrition Ltd 0.12 24,327,882 445,974 Large China s Consumer DefensiveCharles River Laboratories International Inc 0.12 24,294,560 180,575 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Axalta Coating Systems Ltd 0.12 24,250,098 831,622 Medium United States r Basic MaterialsHill-Rom Holdings Inc 0.12 24,249,283 256,878 Medium United States d HealthcareLiberty Property Trust 0.12 24,206,166 572,927 Medium United States u Real EstateSignature Bank 0.12 24,148,555 210,280 Medium United States y Financial ServicesCyrusOne Inc 0.12 23,982,445 378,272 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................PRA Health Sciences Inc 0.12 23,970,953 217,542 Medium United States d HealthcareCrown Holdings Inc 0.11 23,902,176 497,962 Medium United States t Consumer CyclicalInsulet Corp 0.11 23,880,282 225,392 Medium United States d HealthcareRingCentral Inc Class A 0.11 23,871,326 256,543 Medium United States a TechnologyTwilio Inc A 0.11 23,839,423 276,303 Medium United States a Technology................................................................................................................................................................................................................................................................................................JetBlue Airways Corp 0.11 23,807,766 1,229,740 Medium United States p IndustrialsBWX Technologies Inc 0.11 23,739,746 379,593 Medium United States p IndustrialsDunkin' Brands Group Inc 0.11 23,735,555 321,969 Medium United States t Consumer CyclicalCaesars Entertainment Corp 0.11 23,660,741 2,308,365 Medium United States t Consumer CyclicalEaton Vance Corp 0.11 23,630,713 449,595 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Haemonetics Corp 0.11 23,615,740 206,107 Medium United States d HealthcareEtsy Inc 0.11 23,548,019 458,311 Medium United States t Consumer CyclicalOkta Inc A 0.11 23,268,052 330,700 Medium United States a TechnologyReliance Steel & Aluminum Co 0.11 23,256,451 272,675 Medium United States r Basic MaterialsPacWest Bancorp 0.11 23,201,214 486,909 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Douglas Emmett Inc 0.11 23,183,391 614,618 Medium United States u Real EstatePolaris Industries Inc 0.11 23,170,953 229,529 Medium United States t Consumer CyclicalLivaNova PLC 0.11 23,157,100 186,796 Medium United States d HealthcareVectren Corp 0.11 23,134,235 323,601 Medium United States f UtilitiesHexcel Corp 0.11 23,121,388 344,838 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Huntsman Corp 0.11 23,067,350 847,130 Medium United States r Basic MaterialsCurtiss-Wright Corp 0.11 23,064,573 167,840 Medium United States p IndustrialsContinental Resources Inc 0.11 23,034,668 337,356 Large United States o EnergyThe Madison Square Garden Co A 0.11 22,985,882 72,897 Medium United States t Consumer CyclicalLincoln Electric Holdings Inc 0.11 22,871,496 244,772 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Gentex Corp 0.11 22,871,167 1,065,758 Medium United States t Consumer CyclicalCullen/Frost Bankers Inc 0.11 22,764,160 217,964 Medium United States y Financial ServicesNew Residential Investment Corp 0.11 22,722,549 1,275,115 Medium United States u Real EstateTransocean Ltd 0.11 22,705,020 1,627,600 Medium United States o EnergyOwens-Corning Inc 0.11 22,687,736 418,053 Medium United States r Basic Materials................................................................................................................................................................................................................................................................................................Rollins Inc 0.11 22,635,003 372,961 Medium United States p IndustrialsPBF Energy Inc Class A 0.11 22,631,340 453,443 Medium United States o EnergyBrunswick Corp 0.11 22,597,066 337,169 Medium United States t Consumer CyclicalTeladoc Health Inc 0.11 22,197,390 257,063 Medium United States a TechnologyCommScope Holding Co Inc 0.11 22,129,513 719,425 Medium United States a Technology................................................................................................................................................................................................................................................................................................Watsco Inc 0.11 22,085,112 124,004 Medium United States a TechnologyHeico Corp Class A 0.11 22,076,728 292,407 Medium United States p IndustrialsLigand Pharmaceuticals Inc 0.11 22,015,745 80,206 Medium United States d HealthcareAmerican Homes 4 Rent Class A 0.11 22,002,208 1,005,126 Medium United States u Real EstateLPL Financial Holdings Inc 0.11 21,997,716 340,997 Medium United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 6: Small/Mid-Cap Indexed Equity Fund

Page 6 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

American Campus Communities Inc 0.10 21,805,169 529,766 Medium United States u Real EstateManpowerGroup Inc 0.10 21,779,685 253,370 Medium United States p IndustrialsFirst American Financial Corp 0.10 21,759,527 421,778 Medium United States y Financial ServicesFirst Horizon National Corp 0.10 21,735,673 1,259,309 Medium United States y Financial ServicesMasimo Corp 0.10 21,671,205 174,010 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Western Alliance Bancorp 0.10 21,571,948 379,187 Medium United States y Financial ServicesLazard Ltd Shs A 0.10 21,542,266 447,585 Medium United States y Financial ServicesStarwood Property Trust Inc 0.10 21,370,931 993,073 Medium United States u Real EstateUnited Therapeutics Corp 0.10 21,366,830 167,085 Medium United States d HealthcareSonoco Products Co 0.10 21,229,694 382,517 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Wyndham Hotels & Resorts Inc Ordinary Shares 0.10 21,166,613 380,900 Medium United States t Consumer CyclicalWilliams-Sonoma Inc 0.10 21,061,091 320,467 Medium United States t Consumer CyclicalMedical Properties Trust Inc 0.10 21,052,607 1,411,979 Medium United States u Real EstateHubSpot Inc 0.10 20,987,937 139,039 Medium United States a TechnologyITT Inc 0.10 20,834,649 340,102 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Webster Financial Corp 0.10 20,789,532 352,604 Medium United States y Financial ServicesHealthcare Trust of America Inc 0.10 20,758,621 778,351 Medium United States u Real EstateUnited States Steel Corp 0.10 20,695,280 678,979 Medium United States r Basic MaterialsGenesee & Wyoming Inc Class A 0.10 20,692,309 227,413 Medium United States p IndustrialsMurphy Oil Corp 0.10 20,670,800 620,000 Medium United States o Energy................................................................................................................................................................................................................................................................................................Zillow Group Inc C 0.10 20,636,120 466,353 Medium United States u Real EstateProofpoint Inc 0.10 20,630,253 194,021 Medium United States a Technologyathenahealth Inc 0.10 20,615,816 154,310 Medium United States a TechnologyNational Instruments Corp 0.10 20,599,164 426,219 Medium United States a TechnologyGrand Canyon Education Inc 0.10 20,547,986 182,163 Medium United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Popular Inc 0.10 20,483,959 399,687 Large Puerto Rico y Financial ServicesSynovus Financial Corp 0.10 20,482,874 447,322 Medium United States y Financial ServicesOshkosh Corp 0.10 20,398,648 286,337 Medium United States p IndustrialsPrimerica Inc 0.10 20,398,145 169,209 Medium United States y Financial ServicesAvnet Inc 0.10 20,395,063 455,552 Medium United States a Technology................................................................................................................................................................................................................................................................................................The Hanover Insurance Group Inc 0.10 20,346,921 164,926 Medium United States y Financial ServicesAshland Global Holdings Inc 0.10 20,346,281 242,622 Medium United States r Basic MaterialsTrinity Industries Inc 0.10 20,335,200 555,000 Medium United States p IndustrialsLandstar System Inc 0.10 20,285,306 166,273 Medium United States p IndustrialsDun & Bradstreet Corp 0.10 20,279,173 142,300 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Forest City Realty Trust Inc Class A 0.10 20,266,698 807,760 Medium United States u Real EstateNuance Communications Inc 0.10 20,232,237 1,168,143 Medium United States a TechnologyCypress Semiconductor Corp 0.10 20,184,295 1,392,981 Medium United States a TechnologyCubeSmart 0.10 20,175,646 707,173 Medium United States u Real EstateBrixmor Property Group Inc 0.10 20,171,905 1,152,022 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................RenaissanceRe Holdings Ltd 0.10 20,040,607 150,027 Medium United States y Financial ServicesHudson Pacific Properties Inc 0.10 19,989,531 610,927 Medium United States u Real EstateRoyal Gold Inc 0.10 19,921,474 258,519 Medium United States r Basic MaterialsExelixis Inc 0.10 19,817,694 1,118,380 Medium United States d HealthcareAECOM 0.09 19,788,759 605,902 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Idacorp Inc 0.09 19,782,989 199,365 Medium United States f UtilitiesMonolithic Power Systems Inc 0.09 19,705,699 156,980 Medium United States a TechnologyGCI Liberty Inc A 0.09 19,689,264 386,064 Medium United States i Communication ServicesChemed Corp 0.09 19,658,005 61,512 Medium United States d HealthcareSTORE Capital Corp 0.09 19,644,584 706,894 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................New York Community Bancorp Inc 0.09 19,579,535 1,888,094 Medium United States y Financial ServicesEPR Properties 0.09 19,464,903 284,533 Medium United States u Real EstateMDU Resources Group Inc 0.09 19,391,300 754,819 Medium United States r Basic MaterialsHealthEquity Inc 0.09 19,354,994 205,010 Medium United States a TechnologyUniversal Display Corp 0.09 19,346,211 164,090 Medium United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 7: Small/Mid-Cap Indexed Equity Fund

Page 7 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Casey's General Stores Inc 0.09 19,195,300 148,674 Medium United States s Consumer DefensiveHighwoods Properties Inc 0.09 19,063,597 403,377 Medium United States u Real EstateCredit Acceptance Corp 0.09 19,052,979 43,493 Medium United States y Financial ServicesEuronet Worldwide Inc 0.09 19,043,303 190,015 Medium United States p IndustrialsSix Flags Entertainment Corp 0.09 19,037,959 272,672 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Integra Lifesciences Holdings Corp 0.09 19,032,280 288,937 Medium United States d HealthcareOllie's Bargain Outlet Holdings Inc 0.09 18,963,894 197,335 Medium United States s Consumer DefensiveKirby Corp 0.09 18,883,037 229,581 Medium United States p IndustrialsLittelfuse Inc 0.09 18,872,374 95,368 Medium United States a TechnologyW R Grace & Co 0.09 18,858,223 263,899 Medium United States r Basic Materials................................................................................................................................................................................................................................................................................................Axis Capital Holdings Ltd 0.09 18,833,601 326,349 Medium United States y Financial ServicesBlackbaud Inc 0.09 18,787,398 185,134 Medium United States a TechnologyCrane Co 0.09 18,752,886 190,675 Medium United States p IndustrialsSterling Bancorp 0.09 18,740,590 851,845 Medium United States y Financial ServicesThe Trade Desk Inc A 0.09 18,736,080 124,154 Medium United States a Technology................................................................................................................................................................................................................................................................................................Hospitality Properties Trust 0.09 18,655,125 646,849 Medium United States u Real EstateMGIC Investment Corp 0.09 18,603,627 1,397,718 Medium United States y Financial ServicesRealPage Inc 0.09 18,444,883 279,892 Medium United States a TechnologySLM Corp 0.09 18,393,631 1,649,653 Medium United States y Financial ServicesWhiting Petroleum Corp 0.09 18,356,614 346,090 Medium United States o Energy................................................................................................................................................................................................................................................................................................Planet Fitness Inc A 0.09 18,332,325 339,299 Medium United States t Consumer CyclicalPenumbra Inc 0.09 18,317,891 122,364 Medium United States d HealthcareLogMeIn Inc 0.09 18,249,373 204,819 Medium United States a TechnologyThe Howard Hughes Corp 0.09 18,221,956 146,691 Medium United States u Real EstateUmpqua Holdings Corp 0.09 18,131,194 871,692 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Toll Brothers Inc 0.09 18,111,934 548,348 Medium United States t Consumer CyclicalCarter's Inc 0.09 18,097,143 183,541 Medium United States t Consumer CyclicalTeradata Corp 0.09 18,085,716 479,600 Medium United States a TechnologyNu Skin Enterprises Inc Class A 0.09 18,052,617 219,032 Medium United States s Consumer DefensiveIBERIABANK Corp 0.09 18,036,108 221,710 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Texas Roadhouse Inc 0.09 18,030,159 260,213 Medium United States t Consumer CyclicalJabil Inc 0.09 17,999,534 664,680 Medium United States a TechnologyFibroGen Inc 0.09 17,971,855 295,833 Medium United States d HealthcareGenpact Ltd 0.09 17,931,522 585,806 Large India p IndustrialsAssured Guaranty Ltd 0.09 17,925,326 424,469 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Pinnacle Financial Partners Inc 0.09 17,916,459 297,863 Medium United States y Financial ServicesWintrust Financial Corp 0.09 17,910,533 210,861 Medium United States y Financial ServicesKnight-Swift Transportation Holdings Inc A 0.08 17,707,583 513,561 Medium United States p IndustrialsNutanix Inc A 0.08 17,664,378 413,492 Medium United States a TechnologyProsperity Bancshares Inc 0.08 17,585,496 253,576 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Loxo Oncology Inc 0.08 17,542,362 102,689 Medium United States d HealthcareARRIS International PLC 0.08 17,501,068 673,377 Medium United States a TechnologyAssociated Banc-Corp 0.08 17,497,142 672,967 Medium United States y Financial ServicesGramercy Property Trust 0.08 17,440,452 635,585 Medium United States u Real EstateBank OZK 0.08 17,436,357 459,335 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Proto Labs Inc 0.08 17,426,622 107,738 Medium United States p IndustrialsCACI International Inc Class A 0.08 17,356,874 94,254 Medium United States a TechnologyInsperity Inc 0.08 17,345,491 147,058 Medium United States p IndustrialsTrex Co Inc 0.08 17,329,122 225,112 Medium United States r Basic MaterialsNational Fuel Gas Co 0.08 17,256,109 307,815 Medium United States o Energy................................................................................................................................................................................................................................................................................................MKS Instruments Inc 0.08 17,204,117 214,649 Medium United States a TechnologyMednax Inc 0.08 17,194,630 368,509 Medium United States d HealthcareAir Lease Corp Class A 0.08 17,193,117 374,741 Medium United States p IndustrialsCiena Corp 0.08 17,049,386 545,755 Medium United States a TechnologyInogen Inc 0.08 17,033,717 69,776 Medium United States d Healthcare

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 8: Small/Mid-Cap Indexed Equity Fund

Page 8 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Radian Group Inc 0.08 17,024,246 823,621 Medium United States y Financial ServicesICU Medical Inc 0.08 17,002,606 60,133 Medium United States d HealthcareWyndham Destinations Inc 0.08 16,923,408 390,300 Medium United States t Consumer CyclicalDolby Laboratories Inc 0.08 16,870,397 241,109 Medium United States t Consumer CyclicalValvoline Inc 0.08 16,799,783 781,022 Medium United States o Energy................................................................................................................................................................................................................................................................................................Bemis Co Inc 0.08 16,783,281 345,335 Medium United States t Consumer CyclicalCoupa Software Inc 0.08 16,759,708 211,880 Medium United States a TechnologyEMCOR Group Inc 0.08 16,746,751 222,963 Medium United States p IndustrialsThor Industries Inc 0.08 16,690,868 199,413 Medium United States t Consumer CyclicalMarriott Vacations Worldwide Corp 0.08 16,622,589 148,748 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Cinemark Holdings Inc 0.08 16,574,540 412,302 Medium United States t Consumer CyclicalIngevity Corp 0.08 16,573,940 162,681 Medium United States r Basic MaterialsConduent Inc 0.08 16,554,452 735,100 Medium United States p IndustrialsOlin Corp 0.08 16,537,150 643,970 Medium United States r Basic MaterialsNew Relic Inc 0.08 16,526,905 175,389 Medium United States a Technology................................................................................................................................................................................................................................................................................................Antero Resources Corp 0.08 16,495,926 931,447 Medium United States o EnergyLife Storage Inc 0.08 16,459,064 172,962 Medium United States u Real EstatenVent Electric PLC 0.08 16,448,096 605,600 Medium United States a TechnologyCoherent Inc 0.08 16,439,324 95,472 Medium United States a TechnologyWoodward Inc 0.08 16,396,306 202,774 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Rayonier Inc 0.08 16,383,278 484,569 Medium United States r Basic MaterialsPure Storage Inc A 0.08 16,337,990 629,595 Medium United States a TechnologyGraphic Packaging Holding Co 0.08 16,307,262 1,163,973 Medium United States t Consumer CyclicalKemper Corp 0.08 16,284,045 202,412 Medium United States y Financial ServicesGreen Dot Corp 0.08 16,264,985 183,123 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Sprint Corp 0.08 16,261,220 2,486,425 Large United States i Communication ServicesEntegris Inc 0.08 16,235,189 560,801 Medium United States a TechnologyMaximus Inc 0.08 16,195,060 248,925 Medium United States p IndustrialsONE Gas Inc 0.08 16,193,609 196,811 Medium United States f UtilitiesEvercore Inc A 0.08 16,110,322 160,222 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Medidata Solutions Inc 0.08 16,092,425 219,512 Medium United States a TechnologyCentennial Resource Development Inc A 0.08 16,082,321 736,033 Medium United States o EnergyEagle Materials Inc 0.08 16,032,792 188,090 Medium United States r Basic MaterialsEssent Group Ltd 0.08 15,938,319 360,188 Medium United States y Financial ServicesSenior Housing Properties Trust 0.08 15,936,912 907,569 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................First Solar Inc 0.08 15,823,656 326,800 Medium United States a TechnologyKeurig Dr Pepper Inc 0.08 15,723,162 678,600 Large United States s Consumer DefensiveF N B Corp 0.07 15,607,542 1,227,008 Medium United States y Financial ServicesVersum Materials Inc 0.07 15,606,734 433,400 Medium United States r Basic MaterialsGlobus Medical Inc Class A 0.07 15,599,464 274,832 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Stamps.com Inc 0.07 15,595,811 68,947 Medium United States a TechnologyWorld Wrestling Entertainment Inc Class A 0.07 15,592,973 161,201 Medium United States t Consumer Cyclical2U Inc 0.07 15,527,938 206,516 Medium United States a TechnologyCoreLogic Inc 0.07 15,520,274 314,112 Medium United States p IndustrialsPortland General Electric Co 0.07 15,508,312 340,020 Medium United States f Utilities................................................................................................................................................................................................................................................................................................Interactive Brokers Group Inc 0.07 15,496,092 280,168 Large United States y Financial ServicesCoreSite Realty Corp 0.07 15,491,805 139,390 Medium United States u Real EstateSabra Health Care REIT Inc 0.07 15,460,136 668,691 Medium United States u Real EstateAGCO Corp 0.07 15,439,870 253,987 Medium United States p IndustrialsTexas Capital Bancshares Inc 0.07 15,416,870 186,532 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................American Eagle Outfitters Inc 0.07 15,365,375 618,823 Medium United States t Consumer CyclicalASGN Inc 0.07 15,361,514 194,622 Medium United States p IndustrialsAaron's Inc 0.07 15,335,936 281,600 Medium United States p IndustrialsChesapeake Energy Corp 0.07 15,306,859 3,409,100 Medium United States o EnergyHancock Whitney Corp 0.07 15,239,062 320,485 Medium United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 9: Small/Mid-Cap Indexed Equity Fund

Page 9 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Ryder System Inc 0.07 15,198,560 208,000 Medium United States p IndustrialsYelp Inc Class A 0.07 15,187,499 308,689 Medium United States a TechnologyApple Hospitality REIT Inc 0.07 15,168,640 867,275 Medium United States u Real EstateJBG SMITH Properties 0.07 15,127,996 410,752 Medium United States u Real EstateSilicon Laboratories Inc 0.07 15,119,552 164,701 Medium United States a Technology................................................................................................................................................................................................................................................................................................Cree Inc 0.07 15,074,191 398,051 Medium United States a TechnologyNew Jersey Resources Corp 0.07 15,051,005 326,486 Medium United States f UtilitiesSignet Jewelers Ltd 0.07 14,926,552 226,400 Small United States t Consumer CyclicalLumentum Holdings Inc 0.07 14,904,110 248,609 Medium United States a TechnologyLiveRamp Holdings Inc 0.07 14,899,487 301,548 Medium United States a Technology................................................................................................................................................................................................................................................................................................j2 Global Inc 0.07 14,890,713 179,731 Medium United States a TechnologySkechers USA Inc 0.07 14,859,151 532,014 Medium United States t Consumer CyclicalAxon Enterprise Inc 0.07 14,851,773 217,036 Medium United States p IndustrialsMSC Industrial Direct Co Inc Class A 0.07 14,822,657 168,229 Medium United States p IndustrialsClean Harbors Inc 0.07 14,808,470 206,880 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Southwest Gas Holdings Inc 0.07 14,801,924 187,295 Medium United States f UtilitiesTCF Financial Corp 0.07 14,801,296 621,642 Medium United States y Financial ServicesRyman Hospitality Properties Inc 0.07 14,783,239 171,559 Medium United States u Real EstateAgios Pharmaceuticals Inc 0.07 14,739,020 191,118 Medium United States d HealthcareBankUnited Inc 0.07 14,718,400 415,774 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................LaSalle Hotel Properties 0.07 14,703,310 425,074 Medium United States u Real EstateAdient PLC 0.07 14,678,354 373,400 Medium United States t Consumer CyclicalOasis Petroleum Inc 0.07 14,658,930 1,033,775 Medium United States o EnergyFirst Industrial Realty Trust Inc 0.07 14,648,728 466,520 Medium United States u Real EstateLouisiana-Pacific Corp 0.07 14,642,771 552,766 Medium United States r Basic Materials................................................................................................................................................................................................................................................................................................First Financial Bankshares Inc 0.07 14,637,474 247,673 Medium United States y Financial ServicesUnited Bankshares Inc 0.07 14,635,528 402,628 Medium United States y Financial ServicesHawaiian Electric Industries Inc 0.07 14,606,705 410,416 Medium United States f UtilitiesNovoCure Ltd 0.07 14,550,694 277,685 Medium United States d HealthcareHyatt Hotels Corp 0.07 14,523,742 182,482 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................MSA Safety Inc 0.07 14,518,097 136,397 Medium United States p IndustrialsSemtech Corp 0.07 14,515,937 261,078 Medium United States a TechnologyDeckers Outdoor Corp 0.07 14,497,235 122,257 Small United States t Consumer CyclicalALLETE Inc 0.07 14,470,629 192,916 Medium United States f UtilitiesEndo International PLC 0.07 14,470,434 859,800 Medium United States d Healthcare................................................................................................................................................................................................................................................................................................Healthcare Realty Trust Inc 0.07 14,450,051 493,850 Medium United States u Real EstateExtended Stay America Inc 0.07 14,441,428 713,862 Medium United States t Consumer CyclicalPatterson-UTI Energy Inc 0.07 14,434,783 843,646 Medium United States o EnergyRLJ Lodging Trust 0.07 14,421,036 654,609 Medium United States u Real EstateMB Financial Inc 0.07 14,416,937 312,664 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Cabot Corp 0.07 14,412,554 229,792 Medium United States r Basic MaterialsChemical Financial Corp 0.07 14,395,786 269,584 Medium United States y Financial ServicesCleveland-Cliffs Inc 0.07 14,395,762 1,137,106 Medium United States r Basic MaterialsTetra Tech Inc 0.07 14,376,672 210,493 Medium United States p IndustrialsBlackstone Mortgage Trust Inc A 0.07 14,303,040 426,829 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Cable One Inc 0.07 14,242,910 16,119 Medium United States i Communication ServicesGlacier Bancorp Inc 0.07 14,206,127 329,685 Medium United States y Financial ServicesEquity Commonwealth 0.07 14,197,482 442,427 Medium United States u Real EstatePerspecta Inc Ordinary Shares 0.07 14,176,864 551,200 Medium United States a TechnologyAllegheny Technologies Inc 0.07 14,130,160 478,178 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Liberty SiriusXM Group A 0.07 14,128,730 325,247 Medium United States t Consumer CyclicalJohn Bean Technologies Corp 0.07 14,126,910 118,415 Medium United States p IndustrialsSunstone Hotel Investors Inc 0.07 14,051,866 858,916 Medium United States u Real EstateMacquarie Infrastructure Corp 0.07 14,014,248 303,799 Medium United States p IndustrialsFirstCash Inc 0.07 14,011,258 170,869 Medium United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 10: Small/Mid-Cap Indexed Equity Fund

Page 10 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

NuVasive Inc 0.07 14,000,521 197,246 Medium United States d HealthcareEnerSys 0.07 13,998,393 160,661 Medium United States a TechnologyCousins Properties Inc 0.07 13,990,184 1,573,699 Medium United States u Real EstateManhattan Associates Inc 0.07 13,984,753 256,131 Medium United States a TechnologyTwo Harbors Investment Corp 0.07 13,909,803 931,668 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Wright Medical Group NV 0.07 13,901,741 479,040 Small United States d HealthcareValley National Bancorp 0.07 13,842,832 1,230,474 Medium United States y Financial ServicesRange Resources Corp 0.07 13,826,462 813,800 Medium United States o EnergySelective Insurance Group Inc 0.07 13,778,040 216,977 Medium United States y Financial ServicesWolverine World Wide Inc 0.07 13,755,323 352,249 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Sprouts Farmers Market Inc 0.07 13,736,083 501,134 Small United States s Consumer DefensiveBalchem Corp 0.07 13,735,172 122,537 Medium United States r Basic MaterialsSouthern Copper Corp 0.07 13,722,403 318,090 Large United States r Basic MaterialsUltragenyx Pharmaceutical Inc 0.07 13,696,770 179,418 Medium United States d HealthcareNexstar Media Group Inc Class A 0.07 13,656,966 167,776 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Neogen Corp 0.07 13,653,575 190,879 Medium United States d HealthcareAmedisys Inc 0.07 13,624,014 109,027 Medium United States d HealthcareDelek US Holdings Inc 0.07 13,600,555 320,541 Medium United States o EnergyHeico Corp 0.07 13,592,833 146,775 Medium United States p IndustrialsSpire Inc 0.07 13,583,067 184,678 Medium United States f Utilities................................................................................................................................................................................................................................................................................................Tribune Media Co A 0.07 13,582,353 353,431 Small United States t Consumer CyclicalRegal Beloit Corp 0.07 13,572,424 164,614 Small United States p IndustrialsUSG Corp 0.07 13,552,435 312,917 Medium United States r Basic MaterialsUnivar Inc 0.06 13,536,881 441,516 Medium United States r Basic MaterialsKennametal Inc 0.06 13,499,854 309,914 Small United States p Industrials................................................................................................................................................................................................................................................................................................Bruker Corp 0.06 13,495,938 403,466 Medium United States d HealthcareFirst Citizens BancShares Inc (DE) Class A 0.06 13,476,135 29,796 Medium United States y Financial ServicesThe Brink's Co 0.06 13,453,031 192,875 Small United States p IndustrialsWeingarten Realty Investors 0.06 13,405,094 450,440 Medium United States u Real EstateHome BancShares Inc 0.06 13,402,625 611,992 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................RBC Bearings Inc 0.06 13,394,670 89,084 Medium United States p IndustrialsTaubman Centers Inc 0.06 13,375,535 223,559 Medium United States u Real EstateCNO Financial Group Inc 0.06 13,367,688 629,957 Small United States y Financial ServicesNavient Corp 0.06 13,362,724 991,300 Small United States y Financial ServicesStifel Financial Corp 0.06 13,341,235 260,266 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Avista Corp 0.06 13,273,416 262,528 Small United States f UtilitiesViasat Inc 0.06 13,245,580 207,124 Medium United States a TechnologyPolyOne Corp 0.06 13,238,766 302,808 Small United States r Basic MaterialsEnergizer Holdings Inc 0.06 13,229,446 225,566 Small United States a TechnologySM Energy Co 0.06 13,211,795 419,023 Small United States o Energy................................................................................................................................................................................................................................................................................................Matador Resources Co 0.06 13,207,540 399,623 Medium United States o EnergyThe Timken Co 0.06 13,192,454 264,643 Medium United States p IndustrialsHelen Of Troy Ltd 0.06 13,131,495 100,317 Small United States s Consumer DefensiveSensient Technologies Corp 0.06 13,098,818 171,204 Small United States r Basic MaterialsGenerac Holdings Inc 0.06 13,086,048 231,981 Small United States p Industrials................................................................................................................................................................................................................................................................................................Barnes Group Inc 0.06 13,080,743 184,158 Medium United States p IndustrialsCantel Medical Corp 0.06 13,073,072 142,006 Medium United States d HealthcareGATX Corp 0.06 13,065,565 150,890 Small United States p IndustrialsApergy Corp 0.06 13,046,220 299,500 Small United States o EnergyNewMarket Corp 0.06 13,033,497 32,141 Medium United States r Basic Materials................................................................................................................................................................................................................................................................................................Spirit Realty Capital Inc 0.06 13,007,945 1,613,889 Small United States u Real EstateThe Wendy's Co Class A 0.06 12,988,606 757,795 Medium United States t Consumer CyclicalBlueprint Medicines Corp 0.06 12,982,471 166,314 Small United States d HealthcarePDC Energy Inc 0.06 12,951,878 264,540 Small United States o EnergyACI Worldwide Inc 0.06 12,949,915 460,196 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 11: Small/Mid-Cap Indexed Equity Fund

Page 11 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

NCR Corp 0.06 12,935,641 455,320 Small United States a TechnologyAvanos Medical Inc 0.06 12,861,971 187,766 Small United States d HealthcareCathay General Bancorp 0.06 12,860,282 310,335 Small United States y Financial ServicesChimera Investment Corp 0.06 12,859,881 709,315 Small United States u Real EstateRoku Inc Class A 0.06 12,848,168 175,930 Medium United States i Communication Services................................................................................................................................................................................................................................................................................................Flowers Foods Inc 0.06 12,839,013 688,050 Medium United States s Consumer DefensivePerformance Food Group Co 0.06 12,827,460 385,209 Small United States s Consumer DefensiveBrookfield Property REIT Inc 0.06 12,812,718 612,170 Large United States u Real EstateScience Applications International Corp 0.06 12,784,127 158,612 Small United States a TechnologyUniti Group Inc 0.06 12,755,736 633,039 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Trinseo SA 0.06 12,754,600 162,894 Small United States t Consumer CyclicalBank of Hawaii Corp 0.06 12,692,674 160,850 Small United States y Financial ServicesMcDermott International Inc 0.06 12,685,498 688,307 Small United States o EnergyMFA Financial Inc 0.06 12,615,525 1,716,398 Small United States u Real EstateVonage Holdings Corp 0.06 12,589,642 889,099 Small United States i Communication Services................................................................................................................................................................................................................................................................................................Churchill Downs Inc 0.06 12,537,877 45,149 Medium United States t Consumer CyclicalMerit Medical Systems Inc 0.06 12,503,600 203,476 Small United States d HealthcareBGC Partners Inc Class A 0.06 12,495,891 1,057,182 Medium United States y Financial ServicesArray BioPharma Inc 0.06 12,452,083 819,216 Small United States d HealthcareEastGroup Properties Inc 0.06 12,445,134 130,152 Small United States u Real Estate................................................................................................................................................................................................................................................................................................American Equity Investment Life Holding Co 0.06 12,444,775 351,945 Small United States y Financial ServicesEllie Mae Inc 0.06 12,422,546 131,081 Small United States a TechnologyHorizon Pharma PLC 0.06 12,417,871 634,212 Small United States d HealthcareHilton Grand Vacations Inc 0.06 12,353,979 373,232 Small United States t Consumer CyclicalHillenbrand Inc 0.06 12,314,610 235,461 Small United States p Industrials................................................................................................................................................................................................................................................................................................Corporate Office Properties Trust 0.06 12,310,185 412,678 Small United States u Real EstateDomtar Corp 0.06 12,293,704 235,647 Small United States r Basic MaterialsEldorado Resorts Inc 0.06 12,276,409 252,601 Medium United States t Consumer CyclicalSyneos Health Inc A 0.06 12,262,095 237,868 Medium United States d HealthcareColfax Corp 0.06 12,256,181 339,883 Medium United States p Industrials................................................................................................................................................................................................................................................................................................Spirit Airlines Inc 0.06 12,249,071 260,785 Small United States p IndustrialsFireEye Inc 0.06 12,242,584 720,152 Small United States a TechnologyRexnord Corp 0.06 12,221,933 396,816 Small United States p IndustrialsLHC Group Inc 0.06 12,174,551 118,211 Small United States d HealthcareVerint Systems Inc 0.06 12,137,677 242,269 Small United States a Technology................................................................................................................................................................................................................................................................................................Erie Indemnity Co Class A 0.06 12,126,318 95,086 Medium United States y Financial ServicesDarling Ingredients Inc 0.06 12,118,895 627,272 Small United States p IndustrialsHealthcare Services Group Inc 0.06 12,111,706 298,171 Small United States p IndustrialsUMB Financial Corp 0.06 12,049,030 169,944 Small United States y Financial ServicesiRobot Corp 0.06 11,955,779 108,768 Small United States a Technology................................................................................................................................................................................................................................................................................................BancorpSouth Bank 0.06 11,955,153 365,601 Small United States y Financial ServicesThe Scotts Miracle Gro Co A 0.06 11,940,822 151,668 Medium United States r Basic MaterialsAXA Equitable Holdings Inc 0.06 11,936,925 556,500 Medium United States y Financial ServicesParamount Group Inc 0.06 11,888,943 787,869 Medium United States u Real EstatePNM Resources Inc 0.06 11,872,241 300,944 Small United States f Utilities................................................................................................................................................................................................................................................................................................Bottomline Technologies Inc 0.06 11,871,798 163,276 Small United States a TechnologyZynga Inc Class A 0.06 11,838,126 2,952,151 Small United States a TechnologyEmergent BioSolutions Inc 0.06 11,836,431 179,803 Small United States d HealthcareBlack Hills Corp 0.06 11,830,145 203,652 Small United States f UtilitiesArmstrong World Industries Inc 0.06 11,817,245 169,788 Medium United States r Basic Materials................................................................................................................................................................................................................................................................................................KLX Inc 0.06 11,813,689 188,176 Small United States p IndustrialsSpectrum Brands Holdings Inc 0.06 11,809,645 158,052 Medium United States t Consumer CyclicalCNX Resources Corp 0.06 11,787,848 823,749 Small United States o EnergySteven Madden Ltd 0.06 11,786,279 222,803 Small United States t Consumer CyclicalII-VI Inc 0.06 11,758,969 248,604 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 12: Small/Mid-Cap Indexed Equity Fund

Page 12 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Acadia Healthcare Co Inc 0.06 11,751,626 333,853 Small United States d HealthcareWestlake Chemical Corp 0.06 11,671,304 140,432 Medium United States r Basic MaterialsNew York Times Co Class A 0.06 11,667,646 504,002 Medium United States t Consumer CyclicalUrban Outfitters Inc 0.06 11,652,410 284,900 Medium United States t Consumer CyclicalGardner Denver Holdings Inc 0.06 11,626,627 410,255 Medium United States a Technology................................................................................................................................................................................................................................................................................................Box Inc 0.06 11,621,479 486,051 Small United States a TechnologyCommunity Bank System Inc 0.06 11,610,201 190,113 Small United States y Financial ServicesChegg Inc 0.06 11,609,021 408,337 Small United States s Consumer DefensiveColumbia Sportswear Co 0.06 11,583,027 124,455 Medium United States t Consumer CyclicalMyriad Genetics Inc 0.06 11,574,014 251,609 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Physicians Realty Trust 0.06 11,569,467 686,208 Small United States u Real EstateOwens-Illinois Inc 0.06 11,559,608 615,200 Small United States t Consumer CyclicalRLI Corp 0.06 11,551,731 147,006 Small United States y Financial ServicesMatch Group Inc 0.06 11,540,131 199,277 Medium United States a TechnologyValmont Industries Inc 0.06 11,527,216 83,229 Small United States p Industrials................................................................................................................................................................................................................................................................................................Qualys Inc 0.06 11,523,927 129,337 Small United States a TechnologyInvestors Bancorp Inc 0.06 11,516,966 938,628 Medium United States y Financial ServicesCornerstone OnDemand Inc 0.06 11,484,384 202,368 Small United States a TechnologySiteOne Landscape Supply Inc 0.06 11,480,159 152,378 Small United States p IndustrialsTelephone and Data Systems Inc 0.06 11,479,504 377,243 Small United States i Communication Services................................................................................................................................................................................................................................................................................................Southwestern Energy Co 0.05 11,456,109 2,241,900 Small United States o EnergyThe GEO Group Inc 0.05 11,455,122 455,291 Small United States u Real EstateSimpson Manufacturing Co Inc 0.05 11,445,564 157,957 Small United States p IndustrialsApplied Industrial Technologies Inc 0.05 11,428,334 146,049 Small United States p IndustrialsNational Health Investors Inc 0.05 11,414,695 151,008 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Old National Bancorp 0.05 11,409,079 591,144 Small United States y Financial ServicesKBR Inc 0.05 11,400,882 539,559 Small United States p IndustrialsSkyWest Inc 0.05 11,396,502 193,489 Small United States p IndustrialsWhite Mountains Insurance Group Ltd 0.05 11,385,794 12,166 Small United States y Financial ServicesCimpress NV 0.05 11,382,345 83,320 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................South Jersey Industries Inc 0.05 11,322,940 321,036 Small United States f UtilitiesSouth State Corp 0.05 11,272,294 137,467 Small United States y Financial ServicesKapStone Paper And Packaging Corp 0.05 11,229,500 331,156 Small United States r Basic MaterialsColony Capital Inc A 0.05 11,195,143 1,838,283 Small United States u Real EstateWeight Watchers International Inc 0.05 11,170,832 155,172 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Immunomedics Inc 0.05 11,144,592 535,026 Medium United States d HealthcareChoice Hotels International Inc 0.05 11,137,793 133,707 Medium United States t Consumer CyclicalDenbury Resources Inc 0.05 11,126,836 1,794,651 Small United States o EnergyNorthWestern Corp 0.05 11,119,355 189,556 Small United States f UtilitiesMasTec Inc 0.05 11,107,402 248,766 Small United States p Industrials................................................................................................................................................................................................................................................................................................AMC Networks Inc A 0.05 11,099,014 167,305 Medium United States t Consumer CyclicalBelden Inc 0.05 11,073,477 155,069 Small United States a TechnologyWESCO International Inc 0.05 11,057,620 179,945 Small United States p IndustrialsFirst Hawaiian Inc 0.05 11,005,232 405,200 Medium United States y Financial ServicesWeatherford International PLC 0.05 10,997,147 4,057,988 Small United States o Energy................................................................................................................................................................................................................................................................................................Tech Data Corp 0.05 10,955,721 153,077 Small United States a TechnologyCallon Petroleum Co 0.05 10,949,352 913,207 Small United States o EnergyBank of N.T Butterfield & Son Ltd 0.05 10,943,082 211,012 Small United States y Financial ServicesAdtalem Global Education Inc 0.05 10,940,002 226,971 Small United States s Consumer DefensiveKennedy-Wilson Holdings Inc 0.05 10,919,786 507,897 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Columbia Banking System Inc 0.05 10,902,046 281,198 Small United States y Financial ServicesStag Industrial Inc 0.05 10,875,398 395,469 Small United States u Real EstateCracker Barrel Old Country Store Inc 0.05 10,864,226 73,841 Small United States t Consumer CyclicalRetail Properties of America Inc Class A 0.05 10,859,657 890,866 Small United States u Real EstateVishay Intertechnology Inc 0.05 10,837,047 532,533 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 13: Small/Mid-Cap Indexed Equity Fund

Page 13 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

CoreCivic Inc 0.05 10,836,631 445,402 Small United States u Real EstatePeabody Energy Corp 0.05 10,811,394 303,350 Medium United States r Basic MaterialsRexford Industrial Realty Inc 0.05 10,805,229 338,086 Small United States u Real EstateColumbia Property Trust Inc 0.05 10,792,156 456,521 Small United States u Real EstateLancaster Colony Corp 0.05 10,790,718 72,319 Medium United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Fulton Financial Corp 0.05 10,781,541 647,540 Small United States y Financial ServicesStrategic Education Inc 0.05 10,745,070 78,414 Small United States s Consumer DefensiveFirst Financial Bancorp 0.05 10,742,817 361,711 Small United States y Financial ServicesBoyd Gaming Corp 0.05 10,694,704 315,944 Medium United States t Consumer CyclicalKorn/Ferry International 0.05 10,674,543 216,786 Small United States p Industrials................................................................................................................................................................................................................................................................................................Penn National Gaming Inc 0.05 10,622,922 322,689 Small United States t Consumer CyclicalIntercept Pharmaceuticals Inc 0.05 10,609,944 83,966 Medium United States d HealthcareCarpenter Technology Corp 0.05 10,596,027 179,746 Small United States p IndustrialsBrandywine Realty Trust 0.05 10,589,574 673,637 Small United States u Real EstateVisteon Corp 0.05 10,580,567 113,892 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Omnicell Inc 0.05 10,577,640 147,116 Small United States a TechnologyPlatform Specialty Products Corp 0.05 10,568,213 847,491 Medium United States r Basic MaterialsMedifast Inc 0.05 10,512,991 47,452 Small United States t Consumer CyclicalFTI Consulting Inc 0.05 10,512,426 143,632 Small United States p IndustrialsCarGurus Inc Class A 0.05 10,503,134 188,600 Medium United States a Technology................................................................................................................................................................................................................................................................................................Dick's Sporting Goods Inc 0.05 10,476,925 295,291 Small United States t Consumer CyclicalTerex Corp 0.05 10,471,027 262,366 Small United States p IndustrialsCommVault Systems Inc 0.05 10,465,980 149,514 Small United States a TechnologyMoog Inc A 0.05 10,445,871 121,506 Small United States p IndustrialsOutfront Media Inc 0.05 10,436,424 523,129 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Exponent Inc 0.05 10,411,371 194,242 Small United States p IndustrialsDycom Industries Inc 0.05 10,408,084 123,027 Small United States p IndustrialsOceaneering International Inc 0.05 10,406,111 377,033 Small United States o EnergyRogers Corp 0.05 10,377,221 70,440 Small United States a TechnologyWashington Federal Inc 0.05 10,364,928 323,904 Small United States y Financial Services................................................................................................................................................................................................................................................................................................HMS Holdings Corp 0.05 10,361,398 315,800 Small United States p IndustrialsInterDigital Inc 0.05 10,361,280 129,516 Small United States i Communication ServicesFirst Midwest Bancorp Inc 0.05 10,345,770 389,085 Small United States y Financial ServicesWelbilt Inc 0.05 10,325,181 494,501 Small United States p IndustrialsDana Inc 0.05 10,322,699 552,903 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Deluxe Corp 0.05 10,289,400 180,706 Small United States p IndustrialsJohn Wiley & Sons Inc Class A 0.05 10,277,336 169,593 Small United States t Consumer CyclicalXenia Hotels & Resorts Inc 0.05 10,194,034 430,128 Small United States u Real EstateSimmons First National Corp Class A 0.05 10,190,407 346,024 Small United States y Financial ServicesMurphy USA Inc 0.05 10,187,516 119,208 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Amerco Inc 0.05 10,178,434 28,539 Medium United States p IndustrialsPotlatchDeltic Corp 0.05 10,177,795 248,542 Small United States u Real EstateEnvestnet Inc 0.05 10,168,715 166,837 Small United States y Financial ServicesDave & Buster's Entertainment Inc 0.05 10,167,419 153,540 Small United States t Consumer CyclicalAvangrid Inc 0.05 10,142,803 211,617 Medium United States f Utilities................................................................................................................................................................................................................................................................................................ProAssurance Corp 0.05 10,128,946 215,739 Small United States y Financial ServicesUniFirst Corp 0.05 10,101,568 58,172 Small United States t Consumer CyclicalQEP Resources Inc 0.05 10,095,267 891,808 Small United States o EnergyGolar LNG Ltd 0.05 10,090,177 362,956 Small United States p IndustrialsCenterState Bank Corp 0.05 10,066,528 358,878 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Legg Mason Inc 0.05 10,052,937 321,900 Small United States y Financial ServicesEdgewell Personal Care Co 0.05 10,040,278 217,181 Small United States s Consumer DefensiveH.B. Fuller Co 0.05 10,002,124 193,577 Small United States r Basic MaterialsPandora Media Inc 0.05 9,980,431 1,049,467 Small United States t Consumer CyclicalGraham Holdings Co 0.05 9,973,229 17,216 Small United States s Consumer Defensive

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 14: Small/Mid-Cap Indexed Equity Fund

Page 14 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Mercury Systems Inc 0.05 9,972,979 180,278 Small United States a TechnologyCabot Microelectronics Corp 0.05 9,937,747 96,324 Small United States a TechnologyViavi Solutions Inc 0.05 9,911,001 873,986 Small United States a TechnologyAMN Healthcare Services Inc 0.05 9,907,373 181,122 Small United States d HealthcareOneMain Holdings Inc 0.05 9,905,203 294,710 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Quaker Chemical Corp 0.05 9,899,393 48,956 Small United States r Basic MaterialsAeroVironment Inc 0.05 9,893,282 88,199 Small United States p IndustrialsRealogy Holdings Corp 0.05 9,887,964 479,068 Small United States u Real EstateLiberty Expedia Holdings Inc A 0.05 9,830,231 208,976 Small United States a TechnologyIronwood Pharmaceuticals Inc Class A 0.05 9,807,355 531,276 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Union Bankshares Corp 0.05 9,802,995 254,425 Small United States y Financial ServicesTreehouse Foods Inc 0.05 9,796,905 204,742 Small United States s Consumer DefensiveThe Hain Celestial Group Inc 0.05 9,755,850 359,729 Small United States s Consumer DefensiveInteger Holdings Corp 0.05 9,733,685 117,344 Small United States d HealthcareTegna Inc 0.05 9,688,796 810,100 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Allscripts Healthcare Solutions Inc 0.05 9,687,406 679,818 Small United States a TechnologyRH 0.05 9,686,486 73,937 Small United States t Consumer CyclicalCopa Holdings SA Class A 0.05 9,629,263 120,607 Small United States p IndustrialsWashington REIT 0.05 9,621,250 313,907 Small United States u Real EstateSynnex Corp 0.05 9,620,311 113,581 Small United States p Industrials................................................................................................................................................................................................................................................................................................PS Business Parks Inc 0.05 9,584,619 75,416 Small United States u Real EstatePebblebrook Hotel Trust 0.05 9,548,689 262,543 Small United States u Real EstateAspen Insurance Holdings Ltd 0.05 9,519,992 227,751 Small United States y Financial ServicesGreat Western Bancorp Inc 0.05 9,514,183 225,508 Small United States y Financial ServicesFive9 Inc 0.05 9,508,954 217,646 Small United States a Technology................................................................................................................................................................................................................................................................................................Apollo Commercial Real Estate Finance Inc 0.05 9,493,742 503,113 Small United States u Real EstateCVB Financial Corp 0.05 9,488,433 425,109 Small United States y Financial ServicesBOK Financial Corp 0.05 9,486,065 97,513 Medium United States y Financial ServicesZillow Group Inc A 0.05 9,485,541 214,605 Medium United States u Real EstateFox Factory Holding Corp 0.05 9,458,781 135,029 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Tempur Sealy International Inc 0.05 9,453,918 178,713 Small United States t Consumer CyclicalAvaya Holdings Corp 0.05 9,451,566 426,900 Small United States p IndustrialsTrinet Group Inc 0.05 9,425,997 167,365 Medium United States p IndustrialsAutoNation Inc 0.05 9,417,972 226,666 Medium United States t Consumer CyclicalJack In The Box Inc 0.05 9,416,456 112,328 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................International Bancshares Corp 0.05 9,403,650 208,970 Small United States y Financial ServicesBeacon Roofing Supply Inc 0.05 9,397,711 259,677 Small United States r Basic MaterialsEnstar Group Ltd 0.05 9,395,636 45,063 Medium United States y Financial ServicesSally Beauty Holdings Inc 0.04 9,350,524 508,457 Small United States t Consumer CyclicalBrooks Automation Inc 0.04 9,341,030 266,658 Small United States a Technology................................................................................................................................................................................................................................................................................................Liberty Latin America Ltd C 0.04 9,339,944 452,736 Small United States i Communication ServicesCirrus Logic Inc 0.04 9,303,758 241,030 Small United States a TechnologySupernus Pharmaceuticals Inc 0.04 9,279,706 184,304 Small United States d HealthcareMoelis & Co Class A 0.04 9,245,966 168,722 Small United States y Financial ServicesPremier Inc Class A 0.04 9,238,679 201,806 Small United States a Technology................................................................................................................................................................................................................................................................................................Mallinckrodt PLC 0.04 9,235,581 315,100 Small United States d HealthcareCommercial Metals Co 0.04 9,185,347 447,629 Small United States r Basic MaterialsCalifornia Resources Corp 0.04 9,148,876 188,520 Small United States o EnergyTenet Healthcare Corp 0.04 9,137,026 321,048 Small United States d HealthcarePiedmont Office Realty Trust Inc 0.04 9,103,418 480,899 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Esterline Technologies Corp 0.04 9,096,546 100,017 Small United States p IndustrialsBoston Beer Co Inc Class A 0.04 9,085,000 31,600 Small United States s Consumer DefensiveMinerals Technologies Inc 0.04 9,070,636 134,181 Small United States r Basic MaterialsChart Industries Inc 0.04 9,059,726 115,661 Small United States p IndustrialsUrban Edge Properties 0.04 9,043,372 409,573 Small United States u Real Estate

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 15: Small/Mid-Cap Indexed Equity Fund

Page 15 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Rowan Companies PLC 0.04 8,964,229 476,061 Small United States o EnergyAerie Pharmaceuticals Inc 0.04 8,960,941 145,588 Small United States d HealthcareRegenxbio Inc 0.04 8,945,391 118,482 Small United States d HealthcareFinisar Corp 0.04 8,941,518 469,371 Small United States a TechnologySantander Consumer USA Holdings Inc 0.04 8,936,778 445,947 Medium United States y Financial Services................................................................................................................................................................................................................................................................................................Aerojet Rocketdyne Holdings Inc 0.04 8,934,136 262,846 Small United States p IndustrialsDSW Inc 0.04 8,928,329 263,528 Small United States t Consumer CyclicalPegasystems Inc 0.04 8,918,747 142,472 Medium United States a TechnologyDiamondrock Hospitality Co 0.04 8,909,275 763,434 Small United States u Real EstateQTS Realty Trust Inc Class A 0.04 8,882,315 208,163 Small United States u Real Estate................................................................................................................................................................................................................................................................................................WD-40 Co 0.04 8,879,155 51,593 Small United States r Basic MaterialsLifePoint Health Inc 0.04 8,878,055 137,858 Small United States d HealthcareGlaukos Corp 0.04 8,822,182 135,935 Small United States d HealthcareEl Paso Electric Co 0.04 8,821,384 154,220 Small United States f UtilitiesCogent Communications Holdings Inc 0.04 8,783,534 157,411 Small United States i Communication Services................................................................................................................................................................................................................................................................................................Federated Investors Inc Class B 0.04 8,760,505 363,205 Small United States y Financial ServicesCallaway Golf Co 0.04 8,756,229 360,487 Small United States t Consumer CyclicalWesbanco Inc 0.04 8,754,308 196,373 Small United States y Financial ServicesCooper-Standard Holdings Inc 0.04 8,751,581 72,942 Small United States t Consumer CyclicalPaylocity Holding Corp 0.04 8,729,338 108,682 Medium United States a Technology................................................................................................................................................................................................................................................................................................Amicus Therapeutics Inc 0.04 8,719,622 721,226 Small United States d HealthcareQuidel Corp 0.04 8,718,508 133,781 Small United States d HealthcareJ&J Snack Foods Corp 0.04 8,699,261 57,653 Small United States s Consumer DefensiveAcadia Realty Trust 0.04 8,697,148 310,280 Small United States u Real EstateCompass Minerals International Inc 0.04 8,696,083 129,406 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................EchoStar Corp 0.04 8,694,607 187,505 Medium United States a TechnologyMorningstar Inc 0.04 8,678,791 68,934 Medium United States p IndustrialsHarsco Corp 0.04 8,642,913 302,729 Small United States r Basic MaterialsHerman Miller Inc 0.04 8,642,803 225,073 Small United States p IndustrialsLions Gate Entertainment Corp B 0.04 8,639,314 370,786 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Watts Water Technologies Inc A 0.04 8,630,921 103,987 Small United States p IndustrialsCheesecake Factory Inc 0.04 8,624,812 161,091 Small United States t Consumer CyclicalCambrex Corp 0.04 8,598,632 125,711 Small United States d HealthcareNovanta Inc 0.04 8,592,408 125,620 Small United States a TechnologyAlbany International Corp 0.04 8,588,862 108,036 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Arena Pharmaceuticals Inc 0.04 8,527,644 185,303 Small United States d HealthcareTrustmark Corp 0.04 8,510,220 252,904 Small United States y Financial ServicesQ2 Holdings Inc 0.04 8,508,002 140,512 Small United States a TechnologyHalozyme Therapeutics Inc 0.04 8,496,347 467,603 Small United States d HealthcareNational Vision Holdings Inc 0.04 8,459,236 187,400 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................iRhythm Technologies Inc 0.04 8,438,939 89,150 Small United States d HealthcareKB Home 0.04 8,436,428 352,841 Small United States t Consumer CyclicalEmpire State Realty Trust Inc Class A 0.04 8,410,341 506,342 Medium United States u Real EstateCarrizo Oil & Gas Inc 0.04 8,409,416 333,707 Small United States o EnergyVaronis Systems Inc 0.04 8,401,409 114,695 Small United States a Technology................................................................................................................................................................................................................................................................................................MGE Energy Inc 0.04 8,387,719 131,366 Small United States f UtilitiesIndependent Bank Corp 0.04 8,385,469 101,519 Small United States y Financial ServicesKosmos Energy Ltd 0.04 8,373,561 895,568 Medium Ghana o EnergyChildren's Place Inc 0.04 8,357,737 65,397 Small United States t Consumer CyclicalAmerican States Water Co 0.04 8,353,497 136,629 Small United States f Utilities................................................................................................................................................................................................................................................................................................Shutterfly Inc A 0.04 8,349,251 126,715 Small United States t Consumer CyclicalMonro Inc 0.04 8,327,918 119,654 Small United States t Consumer CyclicalTaylor Morrison Home Corp Class A 0.04 8,298,725 460,018 Small United States t Consumer CyclicalAcceleron Pharma Inc 0.04 8,288,392 144,826 Small United States d HealthcareExlService Holdings Inc 0.04 8,286,585 125,175 Small United States p Industrials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 16: Small/Mid-Cap Indexed Equity Fund

Page 16 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Advanced Energy Industries Inc 0.04 8,278,410 160,279 Small United States a TechnologyFirst Merchants Corp 0.04 8,276,000 183,952 Small United States y Financial ServicesMyoKardia Inc 0.04 8,275,836 126,930 Small United States d HealthcareLCI Industries Inc 0.04 8,273,210 99,918 Small United States t Consumer CyclicalAvis Budget Group Inc 0.04 8,262,037 257,064 Small United States p Industrials................................................................................................................................................................................................................................................................................................Convergys Corp 0.04 8,254,137 347,689 Small United States p IndustrialsItron Inc 0.04 8,231,339 128,214 Small United States a TechnologyHeron Therapeutics Inc 0.04 8,230,234 260,039 Small United States d HealthcareSPX FLOW Inc 0.04 8,225,672 158,186 Small United States p IndustrialsIridium Communications Inc 0.04 8,218,710 365,276 Small United States i Communication Services................................................................................................................................................................................................................................................................................................Anixter International Inc 0.04 8,211,040 116,800 Small United States p IndustrialsOrmat Technologies Inc 0.04 8,196,962 151,487 Small United States f UtilitiesTenneco Inc Class A 0.04 8,196,736 194,512 Small United States t Consumer CyclicalUnited Community Banks Inc 0.04 8,180,332 293,307 Small United States y Financial ServicesTandem Diabetes Care Inc 0.04 8,172,073 190,758 Small United States d Healthcare................................................................................................................................................................................................................................................................................................SRC Energy Inc 0.04 8,167,670 918,748 Small United States o EnergyFranklin Electric Co Inc 0.04 8,167,068 172,848 Small United States p IndustrialsCavco Industries Inc 0.04 8,155,961 32,237 Small United States t Consumer CyclicalTanger Factory Outlet Centers Inc 0.04 8,139,903 355,765 Small United States u Real EstateNetScout Systems Inc 0.04 8,132,874 322,094 Small United States a Technology................................................................................................................................................................................................................................................................................................Repligen Corp 0.04 8,131,268 146,615 Small United States d HealthcareTravelport Worldwide Ltd 0.04 8,121,910 481,441 Small United Kingdom t Consumer CyclicalSilgan Holdings Inc 0.04 8,117,489 291,996 Small United States t Consumer CyclicalLiberty Broadband Corp A 0.04 8,109,594 96,165 Medium United States i Communication ServicesSanderson Farms Inc 0.04 8,094,078 78,302 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Nabors Industries Ltd 0.04 8,087,187 1,312,855 Small United States o EnergyStaar Surgical Co 0.04 8,050,896 167,727 Small United States d HealthcareG-III Apparel Group Ltd 0.04 8,037,658 166,791 Small United States t Consumer CyclicalBioTelemetry Inc 0.04 8,022,543 124,477 Small United States d HealthcareACADIA Pharmaceuticals Inc 0.04 7,981,037 384,443 Small United States d Healthcare................................................................................................................................................................................................................................................................................................ABM Industries Inc 0.04 7,976,102 247,321 Small United States p IndustrialsAmneal Pharmaceuticals Inc Ordinary Shares - Class A 0.04 7,972,800 359,297 Medium United States d Healthcare8x8 Inc 0.04 7,958,125 374,500 Small United States i Communication ServicesUniversal Forest Products Inc 0.04 7,940,629 224,756 Small United States r Basic MaterialsForward Air Corp 0.04 7,934,680 110,665 Small United States p Industrials................................................................................................................................................................................................................................................................................................Conmed Corp 0.04 7,927,545 100,070 Small United States d HealthcarePTC Therapeutics Inc 0.04 7,923,025 168,575 Small United States d HealthcareZogenix Inc 0.04 7,917,350 159,624 Small United States d Healthcare3D Systems Corp 0.04 7,915,736 418,822 Small United States a TechnologyYext Inc 0.04 7,899,328 333,305 Small United States a Technology................................................................................................................................................................................................................................................................................................Terreno Realty Corp 0.04 7,891,892 209,334 Small United States u Real EstateHope Bancorp Inc 0.04 7,862,113 486,216 Small United States y Financial ServicesGenworth Financial Inc 0.04 7,838,241 1,879,674 Small United States y Financial ServicesComfort Systems USA Inc 0.04 7,820,480 138,661 Small United States p IndustrialsAxos Financial Inc 0.04 7,808,215 227,049 Small United States y Financial Services................................................................................................................................................................................................................................................................................................The Medicines Co 0.04 7,785,693 260,304 Small United States d HealthcareArgo Group International Holdings Ltd 0.04 7,781,820 123,423 Small United States y Financial ServicesDorman Products Inc 0.04 7,777,689 101,114 Small United States t Consumer CyclicalSummit Materials Inc A 0.04 7,776,077 427,727 Small United States r Basic MaterialsRetail Opportunity Investments Corp 0.04 7,768,886 416,116 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Meredith Corp 0.04 7,765,267 152,111 Small United States t Consumer CyclicalCalifornia Water Service Group 0.04 7,760,095 180,888 Small United States f UtilitiesBlackLine Inc 0.04 7,748,079 137,207 Small United States a TechnologyGlobal Blood Therapeutics Inc 0.04 7,737,484 203,618 Small United States d HealthcareDDR Corp 0.04 7,713,135 576,037 Small United States u Real Estate

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 17: Small/Mid-Cap Indexed Equity Fund

Page 17 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Hawaiian Holdings Inc 0.04 7,708,824 192,240 Small United States p IndustrialsCars.com Inc 0.04 7,681,102 278,200 Small United States t Consumer CyclicalPlantronics Inc 0.04 7,672,331 127,236 Small United States a TechnologyLegacyTexas Financial Group Inc 0.04 7,671,493 180,082 Small United States y Financial ServicesTopBuild Corp 0.04 7,667,632 134,946 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................Brady Corp Class A 0.04 7,663,994 175,177 Small United States p IndustrialsGranite Construction Inc 0.04 7,663,799 167,698 Small United States p IndustrialsSinclair Broadcast Group Inc 0.04 7,625,300 268,970 Small United States t Consumer CyclicalNxStage Medical Inc 0.04 7,615,002 273,037 Small United States d HealthcareWingstop Inc 0.04 7,613,129 111,515 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Towne Bank 0.04 7,598,108 246,292 Small United States y Financial ServicesBrinker International Inc 0.04 7,588,111 162,382 Small United States t Consumer CyclicalRenasant Corp 0.04 7,577,406 183,873 Small United States y Financial ServicesBed Bath & Beyond Inc 0.04 7,570,500 504,700 Small United States t Consumer CyclicalBanner Corp 0.04 7,569,881 121,761 Small United States y Financial Services................................................................................................................................................................................................................................................................................................FCB Financial Holdings Inc Class A 0.04 7,550,062 159,284 Small United States y Financial ServicesAmericold Realty Trust 0.04 7,546,032 301,600 Medium United States u Real EstatePrestige Consumer Healthcare Inc 0.04 7,542,080 199,052 Small United States d HealthcareSaia Inc 0.04 7,539,270 98,617 Small United States p IndustrialsSelect Medical Holdings Corp 0.04 7,525,453 408,992 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Gulfport Energy Corp 0.04 7,510,825 721,501 Small United States o EnergyMomenta Pharmaceuticals Inc 0.04 7,507,230 285,446 Small United States d HealthcarePatterson Companies Inc 0.04 7,493,925 306,500 Small United States d HealthcareMobile Mini Inc 0.04 7,472,478 170,410 Small United States p IndustrialsFirst BanCorp 0.04 7,461,672 819,964 Medium Puerto Rico y Financial Services................................................................................................................................................................................................................................................................................................Dril-Quip Inc 0.04 7,442,020 142,431 Small United States o EnergyOil States International Inc 0.04 7,423,520 223,600 Small United States o EnergyLithia Motors Inc Class A 0.04 7,420,199 90,867 Small United States t Consumer CyclicalNetgear Inc 0.04 7,410,644 117,910 Small United States a TechnologyLendingTree Inc 0.04 7,400,016 32,160 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Ameris Bancorp 0.04 7,392,706 161,766 Small United States y Financial ServicesInsight Enterprises Inc 0.04 7,386,422 136,558 Small United States a TechnologyPlexus Corp 0.04 7,356,813 125,736 Small United States a TechnologyUbiquiti Networks Inc 0.04 7,341,937 74,266 Medium United States a TechnologyInternational Game Technology PLC 0.04 7,341,213 371,707 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Noble Corp PLC 0.04 7,326,336 1,042,153 Small United States o EnergyPacira Pharmaceuticals Inc 0.04 7,325,316 149,040 Small United States d HealthcareGCP Applied Technologies Inc 0.04 7,314,021 275,481 Small United States r Basic MaterialsMasonite International Corp 0.04 7,297,913 113,852 Small United States r Basic MaterialsCovanta Holding Corp 0.04 7,294,219 448,875 Small United States p Industrials................................................................................................................................................................................................................................................................................................Navistar International Corp 0.03 7,288,897 189,322 Medium United States p IndustrialsAmerican Axle & Mfg Holdings Inc 0.03 7,287,008 417,833 Small United States t Consumer CyclicalFerro Corp 0.03 7,271,552 313,159 Small United States r Basic MaterialsAdvanced Disposal Services Inc 0.03 7,258,767 268,049 Small United States p IndustrialsMack-Cali Realty Corp 0.03 7,257,356 341,362 Small United States u Real Estate................................................................................................................................................................................................................................................................................................TRI Pointe Group Inc 0.03 7,216,242 581,955 Small United States t Consumer CyclicalCadence Bancorp A 0.03 7,211,889 276,106 Small United States y Financial ServicesPortola Pharmaceuticals Inc 0.03 7,191,884 270,067 Small United States d HealthcareEnsign Group Inc 0.03 7,168,966 189,055 Small United States d HealthcareChesapeake Lodging Trust 0.03 7,166,907 223,477 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Northwest Natural Holding Co 0.03 7,166,863 107,128 Small United States f UtilitiesHNI Corp 0.03 7,156,926 161,775 Small United States p IndustrialsEvolent Health Inc A 0.03 7,154,443 251,917 Small United States a TechnologyWorthington Industries Inc 0.03 7,148,200 164,857 Small United States r Basic MaterialsEbix Inc 0.03 7,147,403 90,302 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 18: Small/Mid-Cap Indexed Equity Fund

Page 18 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Greenbrier Companies Inc 0.03 7,104,481 118,211 Small United States p IndustrialsOcean Rig UDW Inc Class A 0.03 7,086,714 204,700 Medium Angola o EnergyBlucora Inc 0.03 7,058,280 175,361 Small United States y Financial ServicesSothebys Class A Limited Voting 0.03 7,057,535 143,475 Small United States t Consumer CyclicalAnaptysBio Inc 0.03 7,055,934 70,722 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Otter Tail Corp 0.03 7,048,006 147,140 Small United States f UtilitiesGTT Communications Inc 0.03 7,031,842 162,024 Small United States i Communication ServicesHorace Mann Educators Corp 0.03 7,027,748 156,520 Small United States y Financial ServicesMaxar Technologies Ltd 0.03 7,024,068 212,400 Small United States a TechnologyCarvana Co A 0.03 7,013,806 118,697 Medium United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Sanmina Corp 0.03 7,009,379 253,963 Small United States a TechnologyBrookdale Senior Living Inc 0.03 7,005,477 712,663 Small United States d HealthcareServisfirst Bancshares Inc 0.03 6,986,787 178,462 Small United States y Financial ServicesWorld Fuel Services Corp 0.03 6,980,287 252,178 Small United States o EnergyBloomin Brands Inc 0.03 6,967,366 352,065 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Kaman Corp Class A 0.03 6,960,880 104,236 Small United States p IndustrialsShenandoah Telecommunications Co 0.03 6,957,446 179,547 Small United States i Communication ServicesCubic Corp 0.03 6,954,287 95,199 Small United States p IndustrialsGentherm Inc 0.03 6,952,123 152,962 Small United States t Consumer CyclicalInnospec Inc 0.03 6,940,963 90,436 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................Red Rock Resorts Inc A 0.03 6,938,434 260,354 Small United States t Consumer CyclicalColony Credit Real Estate Inc Class A 0.03 6,924,651 314,900 Small United States u Real EstateSailPoint Technologies Holdings Inc 0.03 6,923,070 203,500 Small United States a TechnologyThe Michaels Companies Inc 0.03 6,911,756 425,863 Small United States t Consumer CyclicalCloudera Inc 0.03 6,845,323 387,837 Small United States a Technology................................................................................................................................................................................................................................................................................................Big Lots Inc 0.03 6,828,904 163,410 Small United States s Consumer DefensiveKaiser Aluminum Corp 0.03 6,800,218 62,353 Small United States r Basic MaterialsPower Integrations Inc 0.03 6,791,156 107,455 Small United States a TechnologyNOW Inc 0.03 6,790,117 410,279 Small United States o EnergyAlarm.com Holdings Inc 0.03 6,787,493 118,249 Small United States a Technology................................................................................................................................................................................................................................................................................................B&G Foods Inc 0.03 6,779,189 246,965 Small United States s Consumer DefensiveAmTrust Financial Services Inc 0.03 6,756,984 465,357 Small United States y Financial ServicesLexington Realty Trust 0.03 6,748,622 813,087 Small United States u Real EstateAlteryx Inc A 0.03 6,741,340 117,835 Small United States a TechnologyStepan Co 0.03 6,734,835 77,403 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................Xencor Inc 0.03 6,733,042 172,775 Small United States d HealthcarePinnacle Entertainment Inc 0.03 6,696,831 198,778 Small United States t Consumer CyclicalPricesmart Inc 0.03 6,692,056 82,669 Small United States s Consumer DefensiveSemgroup Corp 0.03 6,691,977 303,491 Small United States o EnergyMueller Water Products, Inc. 0.03 6,681,935 580,533 Small United States p Industrials................................................................................................................................................................................................................................................................................................Triton International Ltd Ordinary Shares 0.03 6,674,894 200,628 Small United States p IndustrialsLTC Properties Inc 0.03 6,673,931 151,302 Small United States u Real EstateOffice Depot Inc 0.03 6,662,381 2,075,508 Small United States t Consumer CyclicalMagellan Health Inc 0.03 6,661,239 92,453 Small United States d HealthcareFour Corners Property Trust Inc 0.03 6,644,718 258,650 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Invesco Mortgage Capital Inc 0.03 6,643,799 419,962 Small United States u Real EstateArch Coal Inc 0.03 6,639,827 74,271 Small United States r Basic MaterialsSeaWorld Entertainment Inc 0.03 6,621,798 210,684 Small United States t Consumer CyclicalHortonworks Inc 0.03 6,601,100 289,395 Small United States a TechnologyShake Shack Inc 0.03 6,597,273 104,702 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................MRC Global Inc 0.03 6,587,031 350,934 Small United States o EnergySpark Therapeutics Inc 0.03 6,578,348 120,593 Small United States d HealthcarePacific Premier Bancorp Inc 0.03 6,561,559 176,386 Small United States y Financial ServicesESCO Technologies Inc 0.03 6,520,891 95,825 Small United States a TechnologyMINDBODY Inc A 0.03 6,512,821 160,217 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 19: Small/Mid-Cap Indexed Equity Fund

Page 19 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Sangamo Therapeutics Inc 0.03 6,489,240 382,846 Small United States d HealthcareCore-Mark Holding Co Inc 0.03 6,483,915 190,928 Small United States s Consumer DefensiveJELD-WEN Holding Inc 0.03 6,462,597 262,068 Small United States r Basic MaterialsFabrinet 0.03 6,448,875 139,405 Small United States a TechnologyArrowhead Pharmaceuticals Inc 0.03 6,438,647 335,871 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Matson Inc 0.03 6,431,471 162,247 Small United States p IndustrialsAtara Biotherapeutics Inc 0.03 6,428,147 155,457 Small United States d HealthcareWageWorks Inc 0.03 6,404,420 149,811 Small United States p IndustrialsPenske Automotive Group Inc 0.03 6,395,612 134,957 Medium United States t Consumer CyclicalTupperware Brands Corp 0.03 6,392,295 191,100 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Spectrum Pharmaceuticals Inc 0.03 6,390,502 380,387 Small United States d HealthcareWaddell & Reed Financial Inc A 0.03 6,382,042 301,324 Small United States y Financial ServicesActuant Corp Class A 0.03 6,380,758 228,701 Small United States p IndustrialsGroupon Inc 0.03 6,377,720 1,691,703 Small United States a TechnologyNevro Corp 0.03 6,365,817 111,681 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Berkshire Hills Bancorp Inc 0.03 6,362,916 156,337 Small United States y Financial ServicesHeartland Financial USA Inc 0.03 6,355,836 109,489 Small United States y Financial ServicesVirtusa Corp 0.03 6,354,108 118,304 Small United States a TechnologyWerner Enterprises Inc 0.03 6,338,927 179,319 Small United States p IndustrialsUniversal Corp 0.03 6,312,865 97,121 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................DocuSign Inc 0.03 6,297,886 119,800 Medium United States a TechnologyImperva Inc 0.03 6,282,409 135,251 Small United States a TechnologyMantech International Corp Class A 0.03 6,275,182 99,134 Small United States a TechnologyBJ's Restaurants Inc 0.03 6,246,022 86,510 Small United States t Consumer CyclicalSPS Commerce Inc 0.03 6,230,883 62,786 Small United States a Technology................................................................................................................................................................................................................................................................................................Mueller Industries Inc 0.03 6,224,122 214,773 Small United States p IndustrialsBuilders FirstSource Inc 0.03 6,221,355 423,798 Small United States r Basic MaterialsProgress Software Corp 0.03 6,215,240 176,119 Small United States a TechnologyRaven Industries Inc 0.03 6,194,962 135,409 Small United States p IndustrialsCapitol Federal Financial Inc 0.03 6,188,328 485,740 Small United States y Financial Services................................................................................................................................................................................................................................................................................................National General Holdings Corp 0.03 6,188,096 230,555 Small United States y Financial ServicesNorthwest Bancshares Inc 0.03 6,187,483 357,245 Small United States y Financial ServicesUS Silica Holdings Inc 0.03 6,179,761 328,187 Small United States r Basic MaterialsEagle Bancorp Inc 0.03 6,167,735 121,892 Small United States y Financial ServicesInphi Corp 0.03 6,140,303 161,672 Small United States a Technology................................................................................................................................................................................................................................................................................................Allegiant Travel Co 0.03 6,132,428 48,363 Small United States p IndustrialsTTM Technologies Inc 0.03 6,122,438 384,817 Small United States a TechnologyNBT Bancorp Inc 0.03 6,118,194 159,411 Small United States y Financial ServicesUniversal Insurance Holdings Inc 0.03 6,106,619 125,780 Small United States y Financial ServicesMeritor Inc 0.03 6,103,918 315,285 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Belmond Ltd Class A 0.03 6,087,671 333,571 Small United States t Consumer CyclicalPRA Group Inc 0.03 6,077,484 168,819 Small United States y Financial ServicesGibraltar Industries Inc 0.03 6,074,239 133,207 Small United States r Basic MaterialsArchrock Inc 0.03 6,043,477 495,367 Small United States o EnergyFirst Commonwealth Financial Corp 0.03 6,042,461 374,378 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Pattern Energy Group Inc Class A 0.03 6,022,359 303,088 Small United States f UtilitiesUS Ecology Inc 0.03 6,011,141 81,507 Small United States p IndustrialsMatthews International Corp Class A 0.03 6,009,424 119,829 Small United States t Consumer CyclicalAgree Realty Corp 0.03 5,996,770 112,891 Small United States u Real EstateHFF Inc Class A 0.03 5,982,841 140,839 Small United States u Real Estate................................................................................................................................................................................................................................................................................................MSG Networks Inc Class A 0.03 5,968,030 231,319 Small United States t Consumer CyclicalFederal Signal Corp 0.03 5,932,306 221,520 Small United States p IndustrialsSynaptics Inc 0.03 5,897,617 129,277 Small United States a TechnologyAAON Inc 0.03 5,888,560 155,782 Small United States r Basic MaterialsGameStop Corp Class A 0.03 5,868,353 384,306 Small United States t Consumer Cyclical

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 20: Small/Mid-Cap Indexed Equity Fund

Page 20 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

AAR Corp 0.03 5,849,907 122,153 Small United States p IndustrialsArtisan Partners Asset Management Inc 0.03 5,841,720 180,300 Small United States y Financial ServicesHelios Technologies 0.03 5,839,219 106,594 Small United States p IndustrialsElectronics for Imaging Inc 0.03 5,839,199 171,338 Small United States a TechnologyReata Pharmaceuticals Inc A 0.03 5,830,714 71,315 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Calavo Growers Inc 0.03 5,822,951 60,279 Small United States s Consumer DefensiveAK Steel Holding Corp 0.03 5,818,172 1,187,382 Small United States r Basic MaterialsEnPro Industries Inc 0.03 5,814,053 79,721 Small United States p IndustrialsCrocs Inc 0.03 5,808,913 272,847 Small United States t Consumer CyclicalMeritage Homes Corp 0.03 5,793,241 145,194 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Steelcase Inc Class A 0.03 5,793,090 313,140 Small United States p IndustrialsInsmed Inc 0.03 5,782,111 285,960 Small United States d HealthcareAlexander & Baldwin Inc 0.03 5,761,831 253,937 Small United States u Real EstateWestamerica Bancorp 0.03 5,747,747 95,541 Small United States y Financial ServicesUnited Natural Foods Inc 0.03 5,743,302 191,763 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Badger Meter Inc 0.03 5,729,772 108,211 Small United States a TechnologySonic Corp 0.03 5,723,134 132,052 Small United States t Consumer CyclicalSeritage Growth Properties A 0.03 5,708,725 120,209 Small United States u Real EstateProvident Financial Services Inc 0.03 5,698,497 232,118 Small United States y Financial ServicesCaleres Inc 0.03 5,698,226 158,902 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Everbridge Inc 0.03 5,677,540 98,500 Small United States a TechnologyUsana Health Sciences Inc 0.03 5,671,154 47,044 Small United States s Consumer DefensiveLa-Z-Boy Inc 0.03 5,654,915 178,953 Small United States t Consumer CyclicalRedfin Corp 0.03 5,651,140 302,200 Small United States u Real EstateKnowles Corp 0.03 5,635,593 339,085 Small United States a Technology................................................................................................................................................................................................................................................................................................Oclaro Inc 0.03 5,624,270 629,113 Small United States a TechnologyCal-Maine Foods Inc 0.03 5,622,844 116,415 Small United States s Consumer DefensiveOxford Industries Inc 0.03 5,618,648 62,291 Small United States t Consumer CyclicalTiVo Corp 0.03 5,617,340 451,192 Small United States a TechnologyHub Group Inc Class A 0.03 5,613,588 123,105 Small United States p Industrials................................................................................................................................................................................................................................................................................................S&T Bancorp Inc 0.03 5,611,261 129,411 Small United States y Financial ServicesAtlas Air Worldwide Holdings Inc 0.03 5,603,242 87,894 Small United States p IndustrialsEmployers Holdings Inc 0.03 5,600,620 123,634 Small United States y Financial ServicesCooper Tire & Rubber Co 0.03 5,588,571 197,476 Small United States t Consumer CyclicalSuperior Energy Services Inc 0.03 5,583,397 573,244 Small United States o Energy................................................................................................................................................................................................................................................................................................Tesaro Inc 0.03 5,571,798 142,830 Small United States d HealthcareHilltop Holdings Inc 0.03 5,567,707 276,039 Small United States y Financial ServicesHoulihan Lokey Inc 0.03 5,541,666 123,340 Small United States y Financial ServicesWalker & Dunlop Inc 0.03 5,537,699 104,722 Small United States y Financial ServicesUS Physical Therapy Inc 0.03 5,535,892 46,677 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Patrick Industries Inc 0.03 5,526,616 93,355 Small United States t Consumer CyclicalFloor & Decor Holdings Inc 0.03 5,515,076 182,800 Small United States t Consumer CyclicalGroup 1 Automotive Inc 0.03 5,510,075 84,901 Small United States t Consumer CyclicalLadder Capital Corp Class A 0.03 5,506,195 325,041 Small United States u Real EstateLivePerson Inc 0.03 5,491,798 211,630 Small United States a Technology................................................................................................................................................................................................................................................................................................Tabula Rasa HealthCare Inc 0.03 5,480,325 67,500 Small United States a TechnologyFirst Interstate BancSystem Inc 0.03 5,465,555 121,999 Small United States y Financial ServicesNavigators Group Inc 0.03 5,463,461 79,066 Small United States y Financial ServicesGenomic Health Inc 0.03 5,448,159 77,587 Small United States d HealthcareGlobal Net Lease Inc 0.03 5,447,855 261,288 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Evertec Inc 0.03 5,447,829 226,051 Medium Puerto Rico a TechnologySyntel Inc 0.03 5,446,078 132,896 Small United States a TechnologyMadrigal Pharmaceuticals Inc 0.03 5,444,041 25,424 Small United States d HealthcareAbercrombie & Fitch Co Class A 0.03 5,438,400 257,500 Small United States t Consumer CyclicalKraton Corp 0.03 5,437,574 115,325 Small United States r Basic Materials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 21: Small/Mid-Cap Indexed Equity Fund

Page 21 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

CareTrust REIT Inc 0.03 5,434,136 306,840 Small United States u Real EstateNeenah Inc 0.03 5,433,448 62,960 Small United States r Basic MaterialsEditas Medicine Inc 0.03 5,427,919 170,582 Small United States d HealthcareEnanta Pharmaceuticals Inc 0.03 5,418,249 63,401 Small United States d HealthcareIntelsat SA 0.03 5,406,840 180,228 Medium United States i Communication Services................................................................................................................................................................................................................................................................................................Kearny Financial Corp 0.03 5,397,026 389,677 Small United States y Financial ServicesCNA Financial Corp 0.03 5,356,480 117,338 Medium United States y Financial ServicesSPX Corp 0.03 5,347,787 160,546 Small United States p IndustrialsMercury General Corp 0.03 5,347,006 106,599 Small United States y Financial ServicesSelect Income REIT 0.03 5,343,377 243,545 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Unit Corp 0.03 5,335,681 204,746 Small United States o EnergyBoise Cascade Co 0.03 5,331,290 144,872 Small United States r Basic MaterialsNational Storage Affiliates Trust 0.03 5,326,398 209,371 Small United States u Real EstateCannae Holdings Inc Ordinary Shares 0.03 5,322,599 254,062 Small United States y Financial ServicesVector Group Ltd 0.03 5,320,570 386,108 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Continental Building Products Inc 0.03 5,318,544 141,639 Small United States r Basic MaterialsAmerican Assets Trust Inc 0.03 5,317,629 142,602 Small United States u Real EstateWSFS Financial Corp 0.03 5,308,854 112,595 Small United States y Financial ServicesPark National Corp 0.03 5,300,168 50,210 Small United States y Financial ServicesSummit Hotel Properties Inc 0.03 5,296,792 391,485 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Boingo Wireless Inc 0.03 5,293,562 151,678 Small United States i Communication ServicesCactus Inc Class A 0.03 5,282,640 138,000 Small United States o EnergyImax Corp 0.03 5,273,081 204,383 Small United States t Consumer CyclicalGray Television Inc 0.03 5,264,962 300,855 Small United States t Consumer CyclicalMilacron Holdings Corp 0.03 5,264,939 259,997 Small United States p Industrials................................................................................................................................................................................................................................................................................................Asbury Automotive Group Inc 0.03 5,261,988 76,538 Small United States t Consumer CyclicalInterface Inc 0.03 5,248,613 224,780 Small United States t Consumer CyclicalClovis Oncology Inc 0.03 5,248,008 178,686 Small United States d HealthcareWashington Prime Group Inc 0.03 5,240,363 717,858 Small United States u Real EstateDine Brands Global Inc 0.03 5,222,785 64,233 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Independent Bank Group Inc 0.03 5,215,224 78,661 Small United States y Financial ServicesHecla Mining Co 0.03 5,209,240 1,867,111 Small United States r Basic MaterialsTheravance Biopharma Inc 0.02 5,208,545 159,429 Small United States d HealthcareNMI Holdings Inc A 0.02 5,207,982 229,933 Small United States y Financial ServicesScientific Games Corp Class A 0.02 5,197,323 204,619 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Immunogen Inc 0.02 5,188,594 547,898 Small United States d HealthcareGuess? Inc 0.02 5,185,254 229,436 Small United States t Consumer CyclicalRite Aid Corp 0.02 5,183,512 4,049,619 Small United States s Consumer DefensiveGreif Inc Class A 0.02 5,165,902 96,271 Small United States t Consumer CyclicalTriMas Corp 0.02 5,161,738 169,794 Small United States p Industrials................................................................................................................................................................................................................................................................................................Tennant Co 0.02 5,160,651 67,948 Small United States p IndustrialsHelix Energy Solutions Group Inc 0.02 5,140,890 520,333 Small United States o EnergyAt Home Group Inc 0.02 5,139,390 163,000 Small United States t Consumer CyclicalMicroStrategy Inc 0.02 5,138,395 36,541 Small United States a TechnologyAdvanced Drainage Systems Inc 0.02 5,135,456 166,196 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Central Garden & Pet Co Class A 0.02 5,122,450 154,570 Small United States s Consumer DefensiveM.D.C. Holdings Inc 0.02 5,115,684 172,944 Small United States t Consumer CyclicalKite Realty Group Trust 0.02 5,106,222 306,680 Small United States u Real EstateRedwood Trust Inc 0.02 5,094,991 313,731 Small United States u Real EstateICF International Inc 0.02 5,093,101 67,503 Small United States p Industrials................................................................................................................................................................................................................................................................................................National Beverage Corp 0.02 5,092,329 43,666 Medium United States s Consumer DefensiveCorcept Therapeutics Inc 0.02 5,091,924 363,190 Small United States d HealthcareSandy Spring Bancorp Inc 0.02 5,088,090 129,435 Small United States y Financial ServicesFirst Busey Corp Class A 0.02 5,072,204 163,356 Small United States y Financial ServicesCSG Systems International Inc 0.02 5,055,954 125,958 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 22: Small/Mid-Cap Indexed Equity Fund

Page 22 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Evoqua Water Technologies Corp 0.02 5,045,964 283,800 Small United States p IndustrialsC&J Energy Services Inc 0.02 5,031,520 241,900 Small United States o EnergySeacoast Banking Corp of Florida Class A 0.02 5,018,750 171,875 Small United States y Financial ServicesPuma Biotechnology Inc 0.02 5,009,846 109,266 Small United States d HealthcareDiodes Inc 0.02 4,999,093 150,168 Small United States a Technology................................................................................................................................................................................................................................................................................................Laredo Petroleum Inc 0.02 4,983,308 609,952 Small United States o EnergyStandex International Corp 0.02 4,980,544 47,775 Small United States p IndustrialsRapid7 Inc 0.02 4,978,810 134,854 Small United States a TechnologyDiamond Offshore Drilling Inc 0.02 4,972,500 248,625 Small United States o EnergyMedpace Holdings Inc 0.02 4,968,816 82,938 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Sleep Number Corp 0.02 4,958,790 134,823 Small United States t Consumer CyclicalPitney Bowes Inc 0.02 4,953,168 699,600 Small United States p IndustrialsScholastic Corp 0.02 4,945,685 105,926 Small United States t Consumer CyclicalAZZ Inc 0.02 4,936,022 97,743 Small United States p IndustrialsChesapeake Utilities Corp 0.02 4,924,343 58,693 Small United States f Utilities................................................................................................................................................................................................................................................................................................Materion Corp 0.02 4,923,550 81,381 Small United States r Basic MaterialsBrookline Bancorp Inc 0.02 4,911,303 294,090 Small United States y Financial ServicesMcGrath RentCorp 0.02 4,896,308 89,890 Small United States p IndustrialsKratos Defense & Security Solutions Inc 0.02 4,882,056 330,315 Small United States p IndustrialsPennyMac Mortgage Investment Trust 0.02 4,864,299 240,331 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Lions Gate Entertainment Corp 0.02 4,858,927 199,218 Medium United States t Consumer CyclicalHeritage Financial Corp 0.02 4,858,538 138,223 Small United States y Financial ServicesTherapeuticsMD Inc 0.02 4,853,049 739,794 Small United States d HealthcareSafety Insurance Group Inc 0.02 4,850,048 54,130 Small United States y Financial ServicesCardiovascular Systems Inc 0.02 4,847,606 123,853 Small United States d Healthcare................................................................................................................................................................................................................................................................................................KMG Chemicals Inc 0.02 4,845,134 64,123 Small United States r Basic MaterialsMethode Electronics Inc Class A 0.02 4,844,031 133,813 Small United States a TechnologyArcBest Corp 0.02 4,840,920 99,710 Small United States p IndustrialsClearway Energy Inc Class C 0.02 4,836,408 251,242 Medium United States f UtilitiesAir Transport Services Group Inc 0.02 4,826,735 224,813 Small United States p Industrials................................................................................................................................................................................................................................................................................................OceanFirst Financial Corp 0.02 4,812,850 176,813 Small United States y Financial ServicesInvitae Corp 0.02 4,808,587 287,423 Small United States d HealthcareForeScout Technologies Inc 0.02 4,806,848 127,300 Small United States a TechnologyTivity Health Inc 0.02 4,789,868 148,985 Small United States d HealthcareTrueCar Inc 0.02 4,780,379 339,034 Small United States a Technology................................................................................................................................................................................................................................................................................................Fitbit Inc A 0.02 4,750,811 888,002 Small United States a TechnologyOSI Systems Inc 0.02 4,739,843 62,113 Small United States a TechnologyLendingClub Corp 0.02 4,734,554 1,220,246 Small United States y Financial ServicesMonmouth Real Estate Investment Corp Class A 0.02 4,731,643 282,993 Small United States u Real EstateGrafTech International Ltd 0.02 4,731,175 242,500 Medium United States p Industrials................................................................................................................................................................................................................................................................................................FGL Holdings A 0.02 4,730,970 528,600 Small United States y Financial ServicesTronox Ltd 0.02 4,725,030 395,400 Small United States r Basic MaterialsFaro Technologies Inc 0.02 4,717,177 73,305 Small United States a TechnologyLuminex Corp 0.02 4,714,417 155,540 Small United States d HealthcareePlus Inc 0.02 4,712,404 50,835 Small United States a Technology................................................................................................................................................................................................................................................................................................AxoGen Inc 0.02 4,709,356 127,798 Small United States d HealthcareAudentes Therapeutics Inc 0.02 4,704,361 118,827 Small United States d HealthcareAmbarella Inc 0.02 4,700,007 121,510 Medium Taiwan a TechnologyFossil Group Inc 0.02 4,697,648 201,789 Small United States t Consumer CyclicalCryolife Inc 0.02 4,694,941 133,379 Small United States d Healthcare................................................................................................................................................................................................................................................................................................BMC Stock Holdings Inc 0.02 4,691,016 251,529 Small United States r Basic MaterialsIntrexon Corp 0.02 4,672,664 271,351 Small United States d HealthcareHerc Holdings Inc 0.02 4,658,125 90,979 Small United States p IndustrialsCardtronics PLC 0.02 4,655,699 147,146 Small United States p IndustrialsExtraction Oil & Gas Inc 0.02 4,653,738 412,200 Small United States o Energy

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 23: Small/Mid-Cap Indexed Equity Fund

Page 23 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Casella Waste Systems Inc Class A 0.02 4,643,874 149,513 Small United States p IndustrialsApptio Inc A 0.02 4,643,137 125,626 Small United States a TechnologyQuotient Technology Inc 0.02 4,637,476 299,192 Small United States t Consumer CyclicalWorkiva Inc Class A 0.02 4,637,458 117,404 Small United States a TechnologyMaxLinear Inc A 0.02 4,624,088 232,600 Small United States a Technology................................................................................................................................................................................................................................................................................................Kinsale Capital Group Inc 0.02 4,619,952 72,345 Small United States y Financial ServicesOPKO Health Inc 0.02 4,614,408 1,333,644 Small United States d HealthcareTailored Brands Inc 0.02 4,612,919 183,125 Small United States t Consumer CyclicalRush Enterprises Inc A 0.02 4,612,242 117,330 Small United States t Consumer CyclicalTactile Systems Technology Inc 0.02 4,611,145 64,900 Small United States d Healthcare................................................................................................................................................................................................................................................................................................SUPERVALU Inc 0.02 4,582,715 142,232 Small United States s Consumer DefensiveEnterprise Financial Services Corp 0.02 4,568,666 86,120 Small United States y Financial ServicesAltair Engineering Inc Class A 0.02 4,562,250 105,000 Small United States a TechnologyRambus Inc 0.02 4,550,441 417,089 Small United States a TechnologyAppFolio Inc A 0.02 4,540,066 57,909 Small United States a Technology................................................................................................................................................................................................................................................................................................CBIZ Inc 0.02 4,523,240 190,854 Small United States p IndustrialsAkorn Inc 0.02 4,516,469 347,956 Small United States d HealthcareSturm Ruger & Co Inc 0.02 4,499,091 65,157 Small United States p IndustrialsViad Corp 0.02 4,479,004 75,595 Small United States p IndustrialsSykes Enterprises Inc 0.02 4,469,407 146,586 Small United States a Technology................................................................................................................................................................................................................................................................................................H&E Equipment Services Inc 0.02 4,456,340 117,955 Small United States p IndustrialsAltra Industrial Motion Corp 0.02 4,439,172 107,486 Small United States p IndustrialsSunrun Inc 0.02 4,434,014 356,432 Small United States a TechnologyEntercom Communications Corp 0.02 4,420,856 559,602 Small United States t Consumer CyclicalACCO Brands Corp 0.02 4,419,362 391,094 Small United States p Industrials................................................................................................................................................................................................................................................................................................Tompkins Financial Corp 0.02 4,418,441 54,421 Small United States y Financial ServicesSchneider National Inc B 0.02 4,407,546 176,443 Medium United States p IndustrialsSchweitzer-Mauduit International Inc 0.02 4,404,960 114,982 Small United States r Basic MaterialsRetrophin Inc 0.02 4,404,539 153,308 Small United States d HealthcareAtriCure Inc 0.02 4,402,640 125,682 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Aimmune Therapeutics Inc 0.02 4,395,135 161,112 Small United States d HealthcareAMERISAFE Inc 0.02 4,386,741 70,811 Small United States y Financial ServicesAircastle Ltd 0.02 4,383,819 200,083 Small United States p IndustrialsFirst Bancorp 0.02 4,379,212 108,102 Small United States y Financial ServicesMalibu Boats Inc Class A 0.02 4,378,147 80,010 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Beneficial Bancorp Inc 0.02 4,368,785 258,508 Small United States y Financial ServicesBoston Private Financial Holdings Inc 0.02 4,365,502 319,817 Small United States y Financial ServicesProPetro Holding Corp 0.02 4,364,903 264,700 Small United States o EnergyBenchmark Electronics Inc 0.02 4,357,080 186,200 Small United States a TechnologyThe Simply Good Foods Co 0.02 4,356,800 224,000 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Third Point Reinsurance Ltd 0.02 4,349,657 334,589 Small United States y Financial ServicesKadant Inc 0.02 4,347,434 40,310 Small United States p IndustrialsShip Finance International Ltd 0.02 4,343,958 312,515 Small United States p IndustrialsVanda Pharmaceuticals Inc 0.02 4,340,396 189,124 Small United States d HealthcareCity Holding Co 0.02 4,338,048 56,485 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Verso Corp A 0.02 4,320,905 128,331 Small United States r Basic MaterialsStratasys Ltd 0.02 4,319,767 186,922 Small Israel a TechnologyApogee Enterprises Inc 0.02 4,318,684 104,518 Small United States r Basic MaterialsLaureate Education Inc A 0.02 4,311,852 279,265 Small United States s Consumer DefensiveShutterstock Inc 0.02 4,310,565 78,977 Small United States a Technology................................................................................................................................................................................................................................................................................................Warrior Met Coal Inc 0.02 4,310,176 159,400 Small United States r Basic MaterialsCONSOL Energy Inc Ordinary Shares 0.02 4,307,210 105,543 Small United States r Basic MaterialsEndocyte Inc 0.02 4,296,304 241,909 Small United States d HealthcareAstec Industries Inc 0.02 4,296,142 85,224 Small United States p IndustrialsR1 RCM Inc 0.02 4,295,140 422,750 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 24: Small/Mid-Cap Indexed Equity Fund

Page 24 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Omeros Corp 0.02 4,289,569 175,730 Small United States d HealthcarePapa John's International Inc 0.02 4,285,829 83,577 Small United States t Consumer CyclicalSouthside Bancshares Inc 0.02 4,271,491 122,744 Small United States y Financial ServicesWeb.com Group Inc 0.02 4,265,687 152,892 Small United States a TechnologyEasterly Government Properties Inc 0.02 4,260,935 219,976 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Lakeland Financial Corp 0.02 4,247,156 91,376 Small United States y Financial ServicesTier REIT Inc 0.02 4,245,143 176,147 Small United States u Real EstateGovernment Properties Income Trust 0.02 4,235,285 375,136 Small United States u Real EstateNatus Medical Inc 0.02 4,223,349 118,467 Small United States d HealthcareTriumph Group Inc 0.02 4,210,799 180,721 Small United States p Industrials................................................................................................................................................................................................................................................................................................Knoll Inc 0.02 4,210,565 179,555 Small United States p IndustrialsPiper Jaffray Cos 0.02 4,209,099 55,129 Small United States y Financial ServicesK2M Group Holdings Inc 0.02 4,206,358 153,685 Small United States d HealthcareCTS Corp 0.02 4,205,969 122,623 Small United States a TechnologyState Bank Financial Corp 0.02 4,195,443 139,014 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Acacia Communications Inc 0.02 4,192,270 101,336 Small United States a TechnologyGannett Co Inc 0.02 4,184,901 418,072 Small United States t Consumer CyclicalPros Holdings Inc 0.02 4,158,345 118,742 Small United States a TechnologyRenewable Energy Group Inc 0.02 4,149,677 144,086 Small United States o EnergyChico's FAS Inc 0.02 4,134,177 476,837 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Inter Parfums Inc 0.02 4,132,598 64,121 Small United States s Consumer DefensiveLindsay Corp 0.02 4,131,993 41,221 Small United States p IndustrialsInstructure Inc 0.02 4,127,215 116,588 Small United States a TechnologyGetty Realty Corp 0.02 4,117,981 144,187 Small United States u Real EstateHostess Brands Inc A 0.02 4,097,339 370,130 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................American Woodmark Corp 0.02 4,090,854 52,146 Small United States t Consumer CyclicalG1 Therapeutics Inc 0.02 4,085,052 78,123 Small United States d HealthcareJames River Group Holdings Ltd 0.02 4,079,842 95,726 Small United States y Financial ServicesNutrisystem Inc 0.02 4,075,611 110,003 Small United States t Consumer CyclicalPJT Partners Inc A 0.02 4,066,024 77,670 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Nelnet Inc Class A 0.02 4,065,587 71,114 Small United States y Financial ServicesVarex Imaging Corp 0.02 4,063,988 141,800 Small United States d HealthcareInfinera Corp 0.02 4,059,391 556,081 Small United States a TechnologyAMC Entertainment Holdings Inc Class A 0.02 4,057,258 197,915 Small United States t Consumer CyclicalUnited Fire Group Inc 0.02 4,055,000 79,870 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Huron Consulting Group Inc 0.02 4,043,044 81,843 Small United States p IndustrialsJagged Peak Energy Inc 0.02 4,042,882 292,327 Small United States o EnergyNational Bank Holdings Corp Class A 0.02 4,039,205 107,283 Small United States y Financial ServicesMACOM Technology Solutions Holdings Inc 0.02 4,036,776 195,960 Small United States a TechnologyDiplomat Pharmacy Inc 0.02 4,036,678 207,969 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Hannon Armstrong Sustainable Infrastructure Capital Inc 0.02 4,032,195 187,806 Small United States u Real EstateFreshpet Inc 0.02 3,996,336 108,892 Small United States s Consumer DefensiveLiberty TripAdvisor Holdings Inc Class A 0.02 3,989,764 268,671 Small United States a TechnologyWabash National Corp 0.02 3,987,685 218,743 Small United States p IndustrialsBancFirst Corp 0.02 3,983,558 66,448 Small United States y Financial Services................................................................................................................................................................................................................................................................................................NextGen Healthcare Inc 0.02 3,968,290 197,624 Small United States a TechnologyVocera Communications Inc 0.02 3,959,236 108,235 Small United States a TechnologyTrueBlue Inc 0.02 3,958,011 151,939 Small United States p IndustrialsRamco-Gershenson Properties Trust 0.02 3,957,314 290,979 Small United States u Real EstateAlder BioPharmaceuticals Inc 0.02 3,951,012 237,298 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Kemet Corp 0.02 3,950,167 212,947 Small United States a TechnologyStewart Information Services Corp 0.02 3,947,377 87,700 Small United States y Financial ServicesInternational Speedway Corp Class A 0.02 3,944,584 90,059 Small United States t Consumer CyclicalNavigant Consulting Inc 0.02 3,933,875 170,593 Small United States p IndustrialsSJW Group 0.02 3,932,679 64,312 Small United States f Utilities

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 25: Small/Mid-Cap Indexed Equity Fund

Page 25 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Standard Motor Products Inc 0.02 3,931,448 79,875 Small United States t Consumer CyclicalMGP Ingredients Inc 0.02 3,919,461 49,626 Small United States s Consumer DefensiveAtkore International Group Inc 0.02 3,918,481 147,700 Small United States p IndustrialsAdvanSix Inc 0.02 3,910,395 115,181 Small United States r Basic MaterialsCarbonite Inc 0.02 3,908,131 109,625 Small United States a Technology................................................................................................................................................................................................................................................................................................Alamo Group Inc 0.02 3,905,792 42,635 Small United States p IndustrialsPGT Innovations Inc 0.02 3,885,883 179,902 Small United States r Basic MaterialsInnoviva Inc 0.02 3,881,476 254,690 Small United States d HealthcareOwens & Minor Inc 0.02 3,880,548 234,900 Small United States d HealthcareCoBiz Financial Inc 0.02 3,870,935 174,839 Small United States y Financial Services................................................................................................................................................................................................................................................................................................MBIA Inc 0.02 3,870,015 362,022 Small United States y Financial ServicesTriCo Bancshares 0.02 3,869,299 100,189 Small United States y Financial ServicesPrimoris Services Corp 0.02 3,856,805 155,391 Small United States p IndustrialsWinnebago Industries Inc 0.02 3,851,301 116,178 Small United States t Consumer CyclicalFresh Del Monte Produce Inc 0.02 3,820,962 112,746 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................GoPro Inc A 0.02 3,813,214 529,613 Small United States a TechnologyAcushnet Holdings Corp 0.02 3,810,493 138,917 Small United States t Consumer CyclicalOrthofix Medical Inc 0.02 3,808,638 65,882 Small United States d HealthcareSendGrid Inc 0.02 3,807,765 103,500 Small United States a TechnologyBrightSphere Investment Group PLC 0.02 3,799,918 306,445 Small United Kingdom y Financial Services................................................................................................................................................................................................................................................................................................Biohaven Pharmaceutical Holding Co Ltd 0.02 3,798,032 101,146 Small United States d HealthcareUnisys Corp 0.02 3,794,298 185,995 Small United States a TechnologyVista Outdoor Inc 0.02 3,791,302 211,923 Small United States t Consumer CyclicalAtrion Corp 0.02 3,784,576 5,447 Small United States d HealthcareEsperion Therapeutics Inc 0.02 3,779,614 85,184 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Encore Wire Corp 0.02 3,778,893 75,427 Small United States a TechnologyWisdomTree Investments Inc 0.02 3,767,308 444,258 Small United States y Financial ServicesCareer Education Corp 0.02 3,760,807 251,896 Small United States s Consumer DefensiveCareDx Inc 0.02 3,759,790 130,322 Small United States d HealthcareScanSource Inc 0.02 3,759,498 94,223 Small United States a Technology................................................................................................................................................................................................................................................................................................FormFactor Inc 0.02 3,753,626 272,991 Small United States a TechnologyAndersons Inc 0.02 3,752,990 99,681 Small United States s Consumer DefensiveADT Inc 0.02 3,742,854 398,600 Medium United States p IndustrialsPenn Virginia Corp 0.02 3,725,056 46,251 Small United States o EnergyCeridian HCM Holding Inc 0.02 3,711,249 88,300 Medium United States a Technology................................................................................................................................................................................................................................................................................................Denny's Corp 0.02 3,694,764 251,003 Small United States t Consumer CyclicalNeoGenomics Inc 0.02 3,688,052 240,264 Small United States d HealthcareCoeur Mining Inc 0.02 3,674,028 689,311 Small United States r Basic MaterialsMTS Systems Corp 0.02 3,660,585 66,860 Small United States a TechnologyWMIH Corp 0.02 3,653,728 2,628,581 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Intra-Cellular Therapies Inc 0.02 3,652,305 168,309 Small United States d HealthcareLattice Semiconductor Corp 0.02 3,648,448 456,056 Small United States a TechnologyAVX Corp 0.02 3,638,158 201,560 Small United States a TechnologyLiberty Media Corp 0.02 3,626,348 133,077 Small United States t Consumer CyclicalSeaboard Corp 0.02 3,620,999 976 Medium United States p Industrials................................................................................................................................................................................................................................................................................................American National Insurance Co 0.02 3,608,613 27,911 Small United States y Financial ServicesDouglas Dynamics Inc 0.02 3,594,400 81,877 Small United States t Consumer CyclicalDenali Therapeutics Inc 0.02 3,578,404 164,600 Small United States d HealthcareSurmodics Inc 0.02 3,563,343 47,734 Small United States d HealthcarePilgrims Pride Corp 0.02 3,558,737 196,724 Medium United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Iovance Biotherapeutics Inc 0.02 3,556,159 316,103 Small United States d HealthcareNanometrics Inc 0.02 3,554,195 94,728 Small United States a TechnologyEnova International Inc 0.02 3,554,093 123,406 Small United States y Financial ServicesRayonier Advanced Materials Inc 0.02 3,549,249 192,580 Small United States r Basic MaterialsNIC Inc 0.02 3,535,483 238,884 Small United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 26: Small/Mid-Cap Indexed Equity Fund

Page 26 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Universal Health Realty Income Trust 0.02 3,516,914 47,264 Small United States u Real EstateIntellia Therapeutics Inc 0.02 3,506,494 122,519 Small United States d HealthcareNew Media Investment Group Inc 0.02 3,497,348 222,903 Small United States t Consumer CyclicalAstronics Corp 0.02 3,496,965 80,390 Small United States p IndustrialsInfraREIT Inc 0.02 3,490,131 165,018 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Liberty Oilfield Services Inc 0.02 3,481,398 161,400 Small United States o EnergyMirati Therapeutics Inc 0.02 3,480,690 73,900 Small United States d HealthcareChatham Lodging Trust 0.02 3,475,574 166,375 Small United States u Real EstateEncore Capital Group Inc 0.02 3,470,531 96,807 Small United States y Financial ServicesHeartland Express Inc 0.02 3,466,383 175,691 Small United States p Industrials................................................................................................................................................................................................................................................................................................Bryn Mawr Bank Corp 0.02 3,461,830 73,813 Small United States y Financial ServicesBenefitfocus Inc 0.02 3,461,266 85,569 Small United States a TechnologyRuth's Hospitality Group Inc 0.02 3,459,458 109,650 Small United States t Consumer CyclicalOraSure Technologies Inc 0.02 3,459,039 223,886 Small United States d HealthcareARMOUR Residential REIT Inc 0.02 3,454,247 153,864 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Flagstar Bancorp Inc 0.02 3,450,874 109,656 Small United States y Financial ServicesIndependence Realty Trust Inc 0.02 3,444,510 327,114 Small United States u Real EstateCerus Corp 0.02 3,434,267 476,320 Small United States d HealthcareAmbac Financial Group Inc 0.02 3,424,209 167,689 Small United States y Financial ServicesPerficient Inc 0.02 3,412,426 128,046 Small United States a Technology................................................................................................................................................................................................................................................................................................Genesco Inc 0.02 3,410,558 72,411 Small United States t Consumer CyclicalCohen & Steers Inc 0.02 3,397,026 83,650 Small United States y Financial ServicesDillard's Inc 0.02 3,391,328 44,424 Small United States t Consumer CyclicalConsolidated Communications Holdings Inc 0.02 3,388,327 259,841 Small United States i Communication ServicesLiberty Latin America Ltd 0.02 3,375,663 161,980 Small United States i Communication Services................................................................................................................................................................................................................................................................................................Triumph Bancorp Inc 0.02 3,374,053 88,326 Small United States y Financial ServicesHertz Global Holdings Inc 0.02 3,360,338 205,777 Small United States p IndustrialsW&T Offshore Inc 0.02 3,357,516 348,290 Small United States o EnergyCision Ltd 0.02 3,353,280 199,600 Small United States a TechnologyNational Healthcare Corp 0.02 3,350,950 44,460 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Newpark Resources Inc 0.02 3,347,956 323,474 Small United States o EnergyRPC Inc 0.02 3,346,466 216,180 Small United States o EnergyTransEnterix Inc 0.02 3,345,440 576,800 Small United States d HealthcareStoneridge Inc 0.02 3,332,385 112,126 Small United States t Consumer CyclicalPhibro Animal Health Corp Class A 0.02 3,331,614 77,660 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Control4 Corp 0.02 3,298,598 96,085 Small United States a TechnologyKforce Inc 0.02 3,298,385 87,723 Small United States p IndustrialsStock Yards Bancorp Inc 0.02 3,293,136 90,720 Small United States y Financial ServicesLiberty Formula One Group A 0.02 3,292,573 92,540 Medium United States t Consumer CyclicalWAVE Life Sciences Ltd 0.02 3,283,150 65,663 Medium Singapore d Healthcare................................................................................................................................................................................................................................................................................................Hersha Hospitality Trust 0.02 3,275,384 144,481 Small United States u Real EstateViking Therapeutics Inc 0.02 3,269,734 187,700 Small United States d HealthcareHudson Ltd Class A 0.02 3,268,944 144,900 Small United States t Consumer CyclicalCoherus BioSciences Inc 0.02 3,268,617 198,098 Small United States d HealthcareGates Industrial Corp PLC 0.02 3,262,350 167,300 Medium United States p Industrials................................................................................................................................................................................................................................................................................................LGI Homes Inc 0.02 3,251,300 68,535 Small United States t Consumer CyclicalEcho Global Logistics Inc 0.02 3,245,943 104,877 Small United States p IndustrialsDynavax Technologies Corp 0.02 3,243,022 261,534 Small United States d HealthcareAegion Corp Class A 0.02 3,240,036 127,661 Small United States p IndustrialsInstalled Building Products Inc 0.02 3,239,145 83,055 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................The E W Scripps Co Class A 0.02 3,234,776 196,047 Small United States t Consumer CyclicalColumbus McKinnon Corp 0.02 3,221,324 81,470 Small United States p IndustrialsBanc of California Inc 0.02 3,215,703 170,143 Small United States y Financial ServicesXO Group Inc 0.02 3,212,502 93,170 Small United States a TechnologyCodexis Inc 0.02 3,212,401 187,312 Small United States d Healthcare

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 27: Small/Mid-Cap Indexed Equity Fund

Page 27 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Chase Corp 0.02 3,205,842 26,682 Small United States p IndustrialsTrupanion Inc 0.02 3,196,584 89,465 Small United States y Financial ServicesCray Inc 0.02 3,189,267 148,338 Small United States a TechnologyIntersect ENT Inc 0.02 3,183,401 110,727 Small United States d HealthcareUnited Financial Bancorp Inc 0.02 3,182,082 189,072 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Innophos Holdings Inc 0.02 3,180,905 71,642 Small United States r Basic MaterialsExpress, Inc. 0.02 3,180,502 287,568 Small United States t Consumer CyclicalWashington Trust Bancorp Inc 0.02 3,179,197 57,490 Small United States y Financial ServicesMarcus Corp 0.02 3,178,265 75,583 Small United States t Consumer CyclicalCoca-Cola Bottling Co Consolidated 0.02 3,177,687 17,433 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Tahoe Resources Inc 0.02 3,175,394 1,138,134 Small Peru r Basic MaterialsFate Therapeutics Inc 0.02 3,175,393 194,929 Small United States d HealthcareAdtran Inc 0.02 3,173,064 179,777 Small United States a TechnologyManitowoc Co Inc 0.02 3,169,535 132,119 Small United States p IndustrialsFranklin Street Properties Corp 0.02 3,159,182 395,392 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Acorda Therapeutics Inc 0.02 3,158,875 160,757 Small United States d Healthcare1st Source Corp 0.02 3,157,568 60,007 Small United States y Financial ServicesNV5 Global Inc 0.02 3,155,793 36,399 Small United States p IndustrialsMulti-Color Corp 0.02 3,148,169 50,573 Small United States p IndustrialsExterran Corp 0.02 3,147,599 118,643 Small United States o Energy................................................................................................................................................................................................................................................................................................Monotype Imaging Holdings Inc 0.02 3,138,110 155,352 Small United States a TechnologyMacrogenics Inc 0.02 3,137,272 146,328 Small United States d HealthcareCSW Industrials Inc 0.02 3,127,273 58,236 Small United States p IndustrialsTerraForm Power Inc Class A 0.01 3,116,825 269,855 Small United States f UtilitiesGerman American Bancorp 0.01 3,107,568 88,083 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Ascena Retail Group Inc 0.01 3,103,414 679,084 Small United States t Consumer CyclicalKaryopharm Therapeutics Inc 0.01 3,102,542 182,181 Small United States d HealthcareCalAmp Corp 0.01 3,097,836 129,292 Small United States a TechnologyForum Energy Technologies Inc 0.01 3,096,979 299,225 Small United States o EnergySEACOR Holdings Inc 0.01 3,093,412 62,607 Small United States o Energy................................................................................................................................................................................................................................................................................................Columbia Financial Inc 0.01 3,087,830 184,900 Small United States y Financial ServicesGranite Point Mortgage Trust Inc 0.01 3,081,696 159,839 Small United States u Real EstateP.H. Glatfelter Co 0.01 3,081,564 161,254 Small United States r Basic MaterialsThermon Group Holdings Inc 0.01 3,080,452 119,490 Small United States p IndustrialsGlu Mobile Inc 0.01 3,063,291 411,180 Small United States a Technology................................................................................................................................................................................................................................................................................................Comtech Telecommunications Corp 0.01 3,060,463 84,380 Small United States a TechnologyPreferred Bank 0.01 3,058,906 52,289 Small United States y Financial ServicesCytomX Therapeutics Inc 0.01 3,054,609 165,114 Small United States d HealthcareConnecticut Water Service Inc 0.01 3,047,077 43,925 Small United States f UtilitiesAmerican Outdoor Brands Corp 0.01 3,043,709 195,989 Small United States p Industrials................................................................................................................................................................................................................................................................................................Marten Transport Ltd 0.01 3,041,346 144,482 Small United States p IndustrialsVirtu Financial Inc A 0.01 3,038,952 148,604 Medium United States y Financial ServicesResolute Energy Corp 0.01 3,034,139 80,247 Small United States o EnergySP Plus Corp 0.01 3,030,376 83,024 Small United States p IndustrialsOFG Bancorp 0.01 3,030,160 187,626 Small Puerto Rico y Financial Services................................................................................................................................................................................................................................................................................................National CineMedia Inc 0.01 3,022,788 285,438 Small United States t Consumer CyclicalMeridian Bancorp Inc 0.01 3,016,123 177,419 Small United States y Financial ServicesNew York Mortgage Trust Inc 0.01 3,013,990 495,722 Small United States u Real EstateLakeland Bancorp Inc 0.01 3,007,238 166,606 Small United States y Financial ServicesRevance Therapeutics Inc 0.01 3,000,314 120,737 Small United States d Healthcare................................................................................................................................................................................................................................................................................................HealthStream Inc 0.01 2,993,023 96,518 Small United States a TechnologyCara Therapeutics Inc 0.01 2,977,704 124,330 Small United States d HealthcareVicor Corp 0.01 2,973,900 64,650 Small United States a TechnologyBriggs & Stratton Corp 0.01 2,968,362 154,361 Small United States p IndustrialsCorePoint Lodging Inc Ordinary Shares 0.01 2,968,284 152,611 Small United States u Real Estate

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 28: Small/Mid-Cap Indexed Equity Fund

Page 28 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

The Chefs' Warehouse Inc 0.01 2,964,088 81,543 Small United States s Consumer DefensiveAngioDynamics Inc 0.01 2,953,640 135,862 Small United States d HealthcareInvestors Real Estate Trust 0.01 2,945,042 492,482 Small United States u Real EstateCircor International Inc 0.01 2,936,830 61,828 Small United States p IndustrialsRE/MAX Holdings Inc Class A 0.01 2,935,970 66,200 Small United States u Real Estate................................................................................................................................................................................................................................................................................................TFS Financial Corp 0.01 2,934,245 195,486 Medium United States y Financial ServicesInsteel Industries Inc 0.01 2,931,898 81,714 Micro United States p IndustrialsTrustco Bank Corp N Y 0.01 2,931,200 344,847 Small United States y Financial ServicesGlobal Brass and Copper Holdings Inc 0.01 2,930,229 79,410 Small United States p IndustrialsCentral Pacific Financial Corp 0.01 2,922,603 110,579 Small United States y Financial Services................................................................................................................................................................................................................................................................................................GasLog Ltd 0.01 2,909,708 147,327 Small Monaco p IndustrialsVirtus Investment Partners Inc 0.01 2,905,061 25,539 Small United States y Financial ServicesHanmi Financial Corp 0.01 2,903,390 116,602 Small United States y Financial ServicesORBCOMM Inc 0.01 2,902,900 267,302 Small United States i Communication ServicesBiocryst Pharmaceuticals Inc 0.01 2,901,185 380,234 Small United States d Healthcare................................................................................................................................................................................................................................................................................................ATN International Inc 0.01 2,900,677 39,262 Small United States i Communication ServicesMiddlesex Water Co 0.01 2,893,724 59,763 Small United States f UtilitiesMyers Industries Inc 0.01 2,891,463 124,364 Small United States t Consumer CyclicalHoughton Mifflin Harcourt Co 0.01 2,891,462 413,066 Small United States s Consumer DefensiveParty City Holdco Inc 0.01 2,885,554 212,956 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Cass Information Systems Inc 0.01 2,872,964 44,118 Small United States p IndustrialsKelly Services Inc Class A 0.01 2,868,053 119,353 Small United States p IndustrialsMeta Financial Group Inc 0.01 2,863,244 34,643 Small United States y Financial ServicesProvidence Service Corp 0.01 2,857,516 42,472 Small United States d HealthcareGuaranty Bancorp 0.01 2,853,843 96,089 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Xcerra Corp 0.01 2,849,990 199,719 Small United States a TechnologyArbor Realty Trust Inc 0.01 2,848,969 248,168 Small United States u Real EstateNorthStar Realty Europe Corp 0.01 2,847,264 201,078 Micro United States u Real EstateThe St. Joe Co 0.01 2,842,006 169,167 Small United States u Real EstateRudolph Technologies Inc 0.01 2,837,960 116,072 Small United States a Technology................................................................................................................................................................................................................................................................................................Univest Corp of Pennsylvania 0.01 2,837,794 107,289 Small United States y Financial ServicesGMS Inc 0.01 2,826,874 121,848 Small United States r Basic MaterialsAmkor Technology Inc 0.01 2,813,661 380,739 Small United States a TechnologyBoot Barn Holdings Inc 0.01 2,809,721 98,899 Small United States t Consumer CyclicalFBL Financial Group Inc 0.01 2,794,936 37,142 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Assembly Biosciences Inc 0.01 2,790,885 75,145 Small United States d HealthcareAlexander's Inc 0.01 2,783,476 8,108 Small United States u Real EstateSunCoke Energy Inc 0.01 2,780,468 239,283 Small United States r Basic MaterialsNatera Inc 0.01 2,779,458 116,101 Small United States d HealthcareSkyline Champion Corp 0.01 2,776,518 97,183 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Cincinnati Bell Inc 0.01 2,773,290 173,874 Small United States i Communication ServicesCapstead Mortgage Corp 0.01 2,772,083 350,453 Small United States u Real EstateTidewater Inc 0.01 2,769,672 88,800 Small United States o EnergyUnitil Corp 0.01 2,766,313 54,348 Small United States f UtilitiesHeska Corp 0.01 2,765,557 24,407 Small United States d Healthcare................................................................................................................................................................................................................................................................................................iStar Inc 0.01 2,761,101 247,189 Small United States u Real EstateINTL FCStone Inc 0.01 2,753,322 56,981 Small United States y Financial ServicesPreferred Apartment Communities Inc 0.01 2,753,186 156,609 Micro United States u Real EstateHorizon Bancorp (IN) 0.01 2,742,011 138,836 Small United States y Financial ServicesPluralsight Inc Class A 0.01 2,739,200 85,600 Medium United States a Technology................................................................................................................................................................................................................................................................................................Community Trust Bancorp Inc 0.01 2,738,961 59,093 Small United States y Financial ServicesSpartanNash Co 0.01 2,736,084 136,395 Small United States s Consumer DefensiveModine Manufacturing Co 0.01 2,723,288 182,771 Small United States t Consumer CyclicalHealth Insurance Innovations Inc 0.01 2,722,341 44,158 Small United States d HealthcareNorthern Oil & Gas Inc 0.01 2,718,836 679,709 Small United States o Energy

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 29: Small/Mid-Cap Indexed Equity Fund

Page 29 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Regis Corp 0.01 2,707,792 132,540 Small United States t Consumer CyclicalCarolina Financial Corp 0.01 2,703,619 71,676 Small United States y Financial ServicesFiesta Restaurant Group Inc 0.01 2,700,573 100,956 Small United States t Consumer CyclicalRadius Health Inc 0.01 2,694,956 151,402 Small United States d HealthcareGorman-Rupp Co 0.01 2,694,430 73,820 Small United States p Industrials................................................................................................................................................................................................................................................................................................ConnectOne Bancorp Inc 0.01 2,691,374 113,321 Small United States y Financial ServicesUS Concrete Inc 0.01 2,690,111 58,672 Small United States r Basic MaterialsXperi Corp 0.01 2,686,350 180,899 Small United States a TechnologyNational Western Life Group Inc Class A 0.01 2,682,557 8,404 Small United States y Financial ServicesDicerna Pharmaceuticals Inc 0.01 2,674,925 175,290 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Eagle Pharmaceuticals Inc 0.01 2,672,048 38,541 Small United States d HealthcareNovavax Inc 0.01 2,670,955 1,420,721 Small United States d HealthcareTellurian Inc 0.01 2,668,135 297,451 Small United States o EnergyCohu Inc 0.01 2,665,821 106,208 Small United States a TechnologyInvestment Technology Group Inc 0.01 2,664,700 123,024 Small United States y Financial Services................................................................................................................................................................................................................................................................................................HomeStreet Inc 0.01 2,663,966 100,527 Small United States y Financial ServicesSchnitzer Steel Industries Inc Class A 0.01 2,662,586 98,432 Small United States r Basic MaterialsPacific Biosciences of California Inc 0.01 2,659,632 491,614 Small United States d HealthcareLydall Inc 0.01 2,658,236 61,676 Small United States t Consumer CyclicalTeam Inc 0.01 2,657,070 118,092 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Camden National Corp 0.01 2,640,327 60,781 Micro United States y Financial ServicesWorld Acceptance Corp 0.01 2,621,246 22,921 Small United States y Financial ServicesConn's Inc 0.01 2,610,421 73,845 Small United States t Consumer CyclicalTutor Perini Corp 0.01 2,603,236 138,470 Small United States p IndustrialsAMAG Pharmaceuticals Inc 0.01 2,600,060 130,003 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Flushing Financial Corp 0.01 2,590,011 106,148 Micro United States y Financial ServicesInovalon Holdings Inc 0.01 2,572,800 256,000 Small United States a TechnologyCamping World Holdings Inc Class A 0.01 2,568,783 120,487 Small United States t Consumer CyclicalRent-A-Center Inc 0.01 2,567,664 178,558 Small United States p IndustrialsAmphastar Pharmaceuticals Inc 0.01 2,565,712 133,353 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Customers Bancorp Inc 0.01 2,545,122 108,165 Small United States y Financial ServicesFocus Financial Partners Inc Class A 0.01 2,539,110 53,500 Small United States y Financial ServicesAddus HomeCare Corp 0.01 2,535,011 36,137 Small United States d HealthcareK12 Inc 0.01 2,531,967 143,049 Micro United States s Consumer DefensiveNorthfield Bancorp Inc 0.01 2,531,965 159,043 Small United States y Financial Services................................................................................................................................................................................................................................................................................................National Commerce Corp 0.01 2,523,554 61,103 Small United States y Financial ServicesLive Oak Bancshares Inc 0.01 2,522,684 94,130 Small United States y Financial ServicesMarcus & Millichap Inc 0.01 2,520,571 72,618 Small United States u Real EstateFrontier Communications Corp Class B 0.01 2,520,366 388,346 Micro United States i Communication ServicesCentury Communities Inc 0.01 2,517,034 95,887 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Green Plains Inc 0.01 2,505,404 145,663 Small United States r Basic MaterialsHeidrick & Struggles International Inc 0.01 2,501,887 73,911 Micro United States p IndustrialsTPG RE Finance Trust Inc 0.01 2,494,492 124,600 Small United States u Real EstateQuad/Graphics Inc Class A 0.01 2,491,922 119,574 Small United States p IndustrialsArmada Hoffler Properties Inc 0.01 2,487,967 164,657 Small United States u Real Estate................................................................................................................................................................................................................................................................................................CBL & Associates Properties Inc 0.01 2,487,170 623,351 Micro United States u Real EstateM/I Homes Inc 0.01 2,486,973 103,927 Micro United States t Consumer CyclicalMidland States Bancorp Inc 0.01 2,480,784 77,283 Small United States y Financial ServicesHamilton Lane Inc A 0.01 2,479,680 56,000 Small United States y Financial ServicesFirst Financial Corp 0.01 2,479,278 49,388 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Keane Group Inc 0.01 2,474,557 200,045 Small United States o EnergyMovado Group Inc 0.01 2,473,734 59,039 Small United States t Consumer CyclicalBuckle Inc 0.01 2,469,669 107,144 Small United States t Consumer CyclicalClearway Energy Inc 0.01 2,453,209 128,845 Medium United States f UtilitiesPetMed Express Inc 0.01 2,445,744 74,091 Micro United States s Consumer Defensive

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 30: Small/Mid-Cap Indexed Equity Fund

Page 30 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

PQ Group Holdings Inc 0.01 2,442,306 139,800 Small United States r Basic MaterialsPhotronics Inc 0.01 2,441,549 247,873 Micro United States a TechnologyVeritex Holdings Inc 0.01 2,438,103 86,274 Micro United States y Financial ServicesMCBC Holdings Inc 0.01 2,437,615 67,938 Micro United States t Consumer CyclicalCymaBay Therapeutics Inc 0.01 2,433,168 219,600 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Par Pacific Holdings Inc 0.01 2,427,192 118,980 Small United States o EnergyNCI Building Systems Inc 0.01 2,421,773 159,853 Small United States p IndustrialsTalos Energy Inc Ordinary Shares 0.01 2,411,646 73,481 Small United States o EnergyThe RMR Group Inc Class A 0.01 2,410,573 25,976 Small United States u Real EstateKLX Energy Services Holdings Inc Ordinary Shares 0.01 2,409,406 75,270 Micro United States o Energy................................................................................................................................................................................................................................................................................................Dean Foods Co 0.01 2,409,122 339,313 Micro United States s Consumer DefensiveEngility Holdings Inc 0.01 2,407,515 66,894 Small United States p IndustrialsCBTX Inc 0.01 2,406,058 67,700 Small United States y Financial ServicesBanco Latinoamericano de Comercio Exterior SA Class E 0.01 2,401,553 114,797 Small United States y Financial ServicesWildHorse Resource Development Corp 0.01 2,400,500 101,544 Small United States o Energy................................................................................................................................................................................................................................................................................................MiMedx Group Inc 0.01 2,400,281 388,395 Micro United States d HealthcareFlexion Therapeutics Inc 0.01 2,398,772 128,208 Micro United States d HealthcareKoppers Holdings Inc 0.01 2,392,538 76,807 Micro United States r Basic MaterialsAthenex Inc 0.01 2,390,052 153,800 Small United States d HealthcarePennsylvania Real Estate Investment Trust 0.01 2,375,567 251,117 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Federal Agricultural Mortgage Corp Class C 0.01 2,371,257 32,852 Small United States y Financial ServicesDXP Enterprises Inc 0.01 2,367,696 59,089 Micro United States p IndustrialsAxcelis Technologies Inc 0.01 2,359,376 120,070 Micro United States a TechnologySaul Centers Inc 0.01 2,357,320 42,095 Small United States u Real EstateHyster-Yale Materials Handling Inc Class A 0.01 2,354,445 38,265 Small United States p Industrials................................................................................................................................................................................................................................................................................................Bridge Bancorp Inc 0.01 2,354,278 70,912 Micro United States y Financial ServicesFrank's International NV 0.01 2,352,862 271,067 Small United States o EnergyCVR Energy Inc 0.01 2,352,588 58,493 Small United States o EnergyPlayAGS Inc 0.01 2,348,759 79,700 Small United States t Consumer CyclicalCushman & Wakefield PLC 0.01 2,344,620 138,000 Medium United States u Real Estate................................................................................................................................................................................................................................................................................................Extreme Networks Inc 0.01 2,341,325 427,249 Micro United States a TechnologyLeMaitre Vascular Inc 0.01 2,334,395 60,258 Small United States d HealthcareNational Presto Industries Inc 0.01 2,333,830 18,001 Small United States p IndustrialsWesco Aircraft Holdings Inc 0.01 2,333,666 207,437 Small United States p IndustrialsApellis Pharmaceuticals Inc 0.01 2,330,958 131,100 Small United States d Healthcare................................................................................................................................................................................................................................................................................................United States Cellular Corp 0.01 2,329,635 52,024 Medium United States i Communication ServicesMercantile Bank Corp 0.01 2,326,523 69,719 Micro United States y Financial ServicesMatrix Service Co 0.01 2,324,322 94,293 Micro United States o EnergyQuanex Building Products Corp 0.01 2,321,665 127,564 Micro United States r Basic MaterialsCEVA Inc 0.01 2,319,320 80,672 Micro United States a Technology................................................................................................................................................................................................................................................................................................Argan Inc 0.01 2,318,259 53,913 Micro United States p IndustrialsMeridian Bioscience Inc 0.01 2,307,682 154,878 Micro United States d HealthcareHalcon Resources Corp 0.01 2,305,979 515,879 Small United States o EnergyTriState Capital Holdings Inc 0.01 2,303,855 83,473 Small United States y Financial ServicesEssendant Inc 0.01 2,293,165 178,874 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Urstadt Biddle Properties Inc Class A 0.01 2,281,373 107,157 Small United States u Real EstatePeoples Bancorp Inc (Marietta OH) 0.01 2,277,896 65,027 Micro United States y Financial ServicesOritani Financial Corp 0.01 2,277,515 146,464 Small United States y Financial ServicesKimball International Inc Class B 0.01 2,271,149 135,591 Micro United States p IndustrialsCato Corp Class A 0.01 2,270,328 108,008 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Mesa Laboratories Inc 0.01 2,257,139 12,160 Small United States a TechnologyGreat Southern Bancorp Inc 0.01 2,253,797 40,719 Small United States y Financial ServicesEndurance International Group Holdings Inc 0.01 2,251,788 255,885 Small United States a TechnologyAnika Therapeutics Inc 0.01 2,249,628 53,334 Micro United States d HealthcareOrigin Bancorp Inc 0.01 2,247,705 59,700 Small United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 31: Small/Mid-Cap Indexed Equity Fund

Page 31 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Bonanza Creek Energy Inc 0.01 2,243,327 75,330 Micro United States o EnergyVericel Corp 0.01 2,241,417 158,404 Micro United States d HealthcareQuantenna Communications Inc 0.01 2,233,981 121,083 Micro United States a TechnologyJohn B Sanfilippo & Son Inc 0.01 2,226,485 31,192 Small United States s Consumer DefensiveDonnelley Financial Solutions Inc 0.01 2,226,327 124,237 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Heritage Commerce Corp 0.01 2,224,318 149,083 Micro United States y Financial ServicesTower International Inc 0.01 2,217,809 73,316 Micro United States t Consumer CyclicalAccelerate Diagnostics Inc 0.01 2,207,033 96,167 Small United States d HealthcareFirst Defiance Financial Corp 0.01 2,206,340 73,276 Micro United States y Financial ServicesCentury Aluminum Co 0.01 2,204,778 184,192 Small United States r Basic Materials................................................................................................................................................................................................................................................................................................FB Financial Corp 0.01 2,194,550 56,012 Small United States y Financial ServicesTimkenSteel Corp 0.01 2,176,879 146,394 Micro United States r Basic MaterialsEveri Holdings Inc 0.01 2,164,707 236,064 Micro United States t Consumer CyclicalRadNet Inc 0.01 2,160,608 143,562 Small United States d HealthcareViewRay Inc 0.01 2,153,736 230,100 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Scorpio Tankers Inc 0.01 2,142,089 1,065,716 Micro Marshall Islands p IndustrialsOneSpan Inc 0.01 2,142,039 112,443 Small United States a TechnologyOverstock.com Inc 0.01 2,140,019 77,257 Small United States t Consumer CyclicalBlue Hills Bancorp Inc 0.01 2,138,996 88,755 Micro United States y Financial ServicesArqule Inc 0.01 2,135,824 377,354 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................DMC Global Inc 0.01 2,128,046 52,158 Micro United States p IndustrialsLoral Space & Communications Inc 0.01 2,127,126 46,853 Small United States a TechnologyZscaler Inc 0.01 2,120,560 52,000 Medium United States a TechnologyQAD Inc 0.01 2,120,523 37,432 Small United States a TechnologyCorVel Corp 0.01 2,119,053 35,171 Small United States y Financial Services................................................................................................................................................................................................................................................................................................First Community Bancshares Inc 0.01 2,113,197 62,373 Micro United States y Financial ServicesGreenhill & Co Inc 0.01 2,108,343 80,013 Micro United States y Financial ServicesWillScot Corp 0.01 2,095,730 122,200 Small United States p IndustrialsDime Community Bancshares Inc 0.01 2,093,341 117,274 Micro United States y Financial ServicesFront Yard Residential Corp 0.01 2,089,526 192,583 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................BJ's Wholesale Club Holdings Inc 0.01 2,088,840 78,000 Medium United States t Consumer CyclicalPrimo Water Corp 0.01 2,086,165 115,577 Micro United States s Consumer DefensiveFidelity Southern Corp 0.01 2,085,980 84,180 Micro United States y Financial ServicesNexPoint Residential Trust Inc 0.01 2,082,171 62,716 Micro United States u Real EstateFirst Foundation Inc 0.01 2,079,834 133,152 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Electro Scientific Industries Inc 0.01 2,077,021 119,027 Micro United States a TechnologyQuinStreet Inc 0.01 2,074,297 152,859 Micro United States a TechnologyPeapack Gladstone Financial Corp 0.01 2,065,892 66,879 Micro United States y Financial ServicesBank of Marin Bancorp 0.01 2,062,682 24,585 Micro United States y Financial ServicesRing Energy Inc 0.01 2,062,499 208,123 Micro United States o Energy................................................................................................................................................................................................................................................................................................Universal Electronics Inc 0.01 2,061,507 52,389 Micro United States a TechnologyIndependent Bank Corp (Ionia MI) 0.01 2,061,405 87,163 Small United States y Financial ServicesIngles Markets Inc Class A 0.01 2,053,390 59,953 Micro United States s Consumer DefensiveRocket Pharmaceuticals Inc 0.01 2,050,846 83,300 Small United States d HealthcareApollo Medical Holdings Inc 0.01 2,050,303 92,900 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Green Bancorp Inc 0.01 2,050,084 92,764 Small United States y Financial ServicesOpus Bank 0.01 2,044,314 74,610 Small United States y Financial ServicesLimelight Networks Inc 0.01 2,031,609 404,703 Micro United States a TechnologyTredegar Corp 0.01 2,028,583 93,699 Small United States p IndustrialsTetra Technologies Inc 0.01 2,022,248 448,392 Micro United States o Energy................................................................................................................................................................................................................................................................................................CatchMark Timber Trust Inc Class A 0.01 2,017,269 176,489 Micro United States u Real EstateInternational Seaways Inc 0.01 2,015,453 100,672 Micro United States p IndustrialsAmerica's Car-Mart Inc 0.01 2,011,617 25,724 Micro United States t Consumer CyclicalEnnis Inc 0.01 2,007,740 98,178 Micro United States p IndustrialsSpirit MTA REIT 0.01 2,006,531 174,178 Micro United States u Real Estate

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 32: Small/Mid-Cap Indexed Equity Fund

Page 32 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

People's Utah Bancorp 0.01 2,004,883 59,054 Micro United States y Financial ServicesSientra Inc 0.01 2,004,153 83,926 Micro United States d HealthcareEpizyme Inc 0.01 1,999,732 188,654 Small United States d HealthcareCommunity Healthcare Trust Inc 0.01 1,995,701 64,419 Micro United States u Real EstateTucows Inc 0.01 1,990,275 35,700 Small Canada a Technology................................................................................................................................................................................................................................................................................................Lantheus Holdings Inc 0.01 1,985,360 132,800 Micro United States d HealthcareEZCORP Inc 0.01 1,979,543 185,004 Micro United States y Financial ServicesQCR Holdings Inc 0.01 1,974,158 48,327 Micro United States y Financial ServicesAkcea Therapeutics Inc 0.01 1,968,124 56,200 Small United States d HealthcareAshford Hospitality Trust Inc 0.01 1,966,689 307,776 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................HighPoint Resources Corp 0.01 1,966,313 402,933 Small United States o EnergyMYR Group Inc 0.01 1,958,433 60,001 Micro United States p IndustrialsDiamond Hill Investment Group Inc 0.01 1,955,737 11,825 Micro United States y Financial ServicesAmerican Public Education Inc 0.01 1,943,406 58,802 Micro United States s Consumer DefensiveNII Holdings Inc 0.01 1,939,660 331,000 Micro United States i Communication Services................................................................................................................................................................................................................................................................................................Rigel Pharmaceuticals Inc 0.01 1,937,463 603,571 Micro United States d HealthcareMediciNova Inc 0.01 1,930,942 154,599 Micro United States d HealthcareGladstone Commercial Corp 0.01 1,930,512 100,810 Micro United States u Real EstateEquity Bancshares Inc A 0.01 1,930,493 49,172 Micro United States y Financial ServicesSolid Biosciences Inc 0.01 1,928,954 40,885 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Select Energy Services Inc A 0.01 1,925,184 162,600 Small United States p IndustrialseHealth Inc 0.01 1,925,015 68,118 Micro United States y Financial ServicesRed Robin Gourmet Burgers Inc 0.01 1,921,017 47,846 Micro United States t Consumer CyclicalEthan Allen Interiors Inc 0.01 1,916,698 92,371 Micro United States t Consumer CyclicalGenMark Diagnostics Inc 0.01 1,916,682 260,773 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Sonic Automotive Inc Class A 0.01 1,916,637 99,051 Small United States t Consumer CyclicalIchor Holdings Ltd 0.01 1,912,272 93,647 Micro United States a TechnologyWhitestone REIT Class B 0.01 1,909,541 137,575 Micro United States u Real EstateKimball Electronics Inc 0.01 1,905,598 96,977 Micro United States a TechnologyJC Penney Co Inc 0.01 1,905,087 1,147,643 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................American Vanguard Corp 0.01 1,904,094 105,783 Micro United States r Basic MaterialsEssential Properties Realty Trust Inc 0.01 1,902,879 134,100 Micro United States u Real EstateProthena Corp PLC 0.01 1,901,649 145,386 Micro Ireland d HealthcareVerastem Inc 0.01 1,901,189 262,233 Micro United States d HealthcareOld Second Bancorp Inc 0.01 1,900,165 122,988 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................William Lyon Homes 0.01 1,898,299 119,465 Micro United States t Consumer CyclicalFirst of Long Island Corp 0.01 1,896,578 87,199 Micro United States y Financial ServicesAG Mortgage Investment Trust Inc 0.01 1,896,447 104,315 Micro United States u Real EstateState Auto Financial Corp 0.01 1,883,982 61,689 Small United States y Financial ServicesPHH Corp 0.01 1,881,059 171,161 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................UMH Properties Inc 0.01 1,880,319 120,225 Micro United States u Real EstateFranklin Financial Network Inc 0.01 1,879,615 48,072 Micro United States y Financial ServicesUpland Software Inc 0.01 1,878,633 58,144 Micro United States a TechnologyMonarch Casino & Resort Inc 0.01 1,878,448 41,330 Small United States t Consumer CyclicalCarrols Restaurant Group Inc 0.01 1,870,523 128,118 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Spartan Motors Inc 0.01 1,869,341 126,735 Micro United States p IndustrialsStemline Therapeutics Inc 0.01 1,859,864 112,040 Micro United States d HealthcareOld Line Bancshares Inc 0.01 1,858,407 58,736 Micro United States y Financial ServicesVeeco Instruments Inc 0.01 1,856,808 181,152 Micro United States a TechnologyAchillion Pharmaceuticals Inc 0.01 1,856,170 504,394 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Griffon Corp 0.01 1,854,876 114,853 Small United States r Basic MaterialsNVE Corp 0.01 1,853,641 17,507 Micro United States a TechnologyRetail Value Inc 0.01 1,853,588 56,702 Micro United States u Real EstateResources Connection Inc 0.01 1,850,933 111,502 Micro United States p IndustrialsSolaris Oilfield Infrastructure Inc Class A 0.01 1,827,230 96,730 Small United States o Energy

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 33: Small/Mid-Cap Indexed Equity Fund

Page 33 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

MarineMax Inc 0.01 1,826,862 85,970 Micro United States t Consumer CyclicalTootsie Roll Industries Inc 0.01 1,826,253 62,436 Small United States s Consumer DefensiveBBX Capital Corp Class A 0.01 1,813,448 244,400 Small United States u Real EstateZumiez Inc 0.01 1,811,615 68,752 Micro United States t Consumer CyclicalNew Senior Investment Group Inc 0.01 1,809,430 306,683 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Presidio Inc 0.01 1,807,125 118,500 Small United States a TechnologyGlycoMimetics Inc 0.01 1,802,880 125,200 Micro United States d HealthcareShotSpotter Inc 0.01 1,795,797 29,300 Micro United States a TechnologyAntares Pharma Inc 0.01 1,792,899 533,601 Micro United States d HealthcareThe Hackett Group Inc 0.01 1,792,322 88,949 Micro United States p Industrials................................................................................................................................................................................................................................................................................................REV Group Inc 0.01 1,791,982 114,139 Small United States t Consumer CyclicalHomeTrust Bancshares Inc 0.01 1,787,799 61,331 Micro United States y Financial ServicesUltra Clean Holdings Inc 0.01 1,768,709 140,933 Micro United States a TechnologyFirst Bancshares Inc 0.01 1,764,552 45,187 Micro United States y Financial ServicesThe Bancorp Inc 0.01 1,761,683 183,700 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Shoe Carnival Inc 0.01 1,756,486 45,623 Micro United States t Consumer CyclicalClearwater Paper Corp 0.01 1,750,399 58,936 Micro United States r Basic MaterialsInvacare Corp 0.01 1,750,321 120,297 Micro United States d HealthcareBarrett Business Services Inc 0.01 1,749,636 26,200 Micro United States p IndustrialsUnited Community Financial Corp 0.01 1,749,458 180,916 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Industrial Logistics Properties Trust 0.01 1,748,760 76,000 Small United States u Real EstateAduro Biotech Inc 0.01 1,748,411 237,879 Micro United States d HealthcareB. Riley Financial Inc 0.01 1,744,865 77,036 Micro United States y Financial ServicesProgenics Pharmaceuticals Inc 0.01 1,741,518 277,754 Micro United States d HealthcareForrester Research Inc 0.01 1,740,895 37,928 Small United States p Industrials................................................................................................................................................................................................................................................................................................Allegiance Bancshares Inc 0.01 1,740,224 41,732 Micro United States y Financial ServicesTechTarget Inc 0.01 1,732,439 89,209 Micro United States a TechnologyArrow Financial Corp 0.01 1,732,252 46,818 Micro United States y Financial ServicesTeekay Corp 0.01 1,731,398 256,884 Micro United States o EnergyNicolet Bankshares Inc 0.01 1,727,585 31,693 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Ocwen Financial Corp 0.01 1,724,735 437,750 Micro United States y Financial ServicesFinancial Institutions Inc 0.01 1,718,114 54,717 Micro United States y Financial ServicesLexicon Pharmaceuticals Inc 0.01 1,713,794 160,618 Small United States d HealthcareFive Prime Therapeutics Inc 0.01 1,712,104 122,996 Micro United States d HealthcareFirst Mid-Illinois Bancshares Inc 0.01 1,711,767 42,444 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Anworth Mortgage Asset Corp 0.01 1,705,706 368,403 Micro United States u Real EstateApplied Optoelectronics Inc 0.01 1,703,636 69,085 Micro United States a TechnologyCowen Inc 0.01 1,703,383 104,502 Micro United States y Financial ServicesANI Pharmaceuticals Inc 0.01 1,701,911 30,101 Micro United States d HealthcareUnited Insurance Holdings Corp 0.01 1,701,372 76,022 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Cytokinetics Inc 0.01 1,699,322 172,520 Micro United States d HealthcareJohnson Outdoors Inc Class A 0.01 1,697,439 18,254 Small United States t Consumer CyclicalImpinj Inc 0.01 1,691,582 68,154 Micro United States a TechnologyTejon Ranch Co 0.01 1,691,100 77,895 Micro United States u Real EstateInovio Pharmaceuticals Inc 0.01 1,683,663 302,817 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................One Liberty Properties Inc 0.01 1,678,940 60,437 Micro United States u Real EstateMotorcar Parts of America Inc 0.01 1,671,352 71,273 Micro United States t Consumer CyclicalAkebia Therapeutics Inc 0.01 1,657,285 187,688 Micro United States d HealthcareHarmonic Inc 0.01 1,652,420 300,440 Micro United States a TechnologyCutera Inc 0.01 1,652,303 50,762 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Sorrento Therapeutics Inc 0.01 1,650,880 375,200 Micro United States d HealthcareFutureFuel Corp 0.01 1,648,651 88,924 Small United States r Basic MaterialsBar Harbor Bankshares Inc 0.01 1,648,068 57,384 Micro United States y Financial ServicesKEYW Holding Corp 0.01 1,646,292 190,103 Micro United States a TechnologyAdamas Pharmaceuticals Inc 0.01 1,645,744 82,205 Micro United States d Healthcare

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 34: Small/Mid-Cap Indexed Equity Fund

Page 34 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

CNB Financial Corp 0.01 1,639,796 56,819 Micro United States y Financial ServicesREX American Resources Corp 0.01 1,628,027 21,549 Micro United States r Basic MaterialsTenable Holdings Inc 0.01 1,625,184 41,800 Medium United States a TechnologyCorEnergy Infrastructure Trust Inc 0.01 1,624,132 43,218 Micro United States u Real EstatePlug Power Inc 0.01 1,621,006 844,274 Micro United States a Technology................................................................................................................................................................................................................................................................................................Lumber Liquidators Holdings Inc 0.01 1,620,037 104,586 Micro United States t Consumer CyclicalSunPower Corp 0.01 1,616,811 221,481 Small United States a TechnologyChuy's Holdings Inc 0.01 1,615,268 61,534 Micro United States t Consumer CyclicalMinerva Neurosciences Inc 0.01 1,613,102 128,534 Micro United States d HealthcareCity Office REIT Inc 0.01 1,612,924 127,807 Micro Canada u Real Estate................................................................................................................................................................................................................................................................................................Vishay Precision Group Inc 0.01 1,612,613 43,118 Micro United States a TechnologyBraemar Hotels & Resorts Inc 0.01 1,612,113 136,968 Micro United States u Real EstateLa Jolla Pharmaceutical Co 0.01 1,605,710 79,767 Micro United States d HealthcareDucommun Inc 0.01 1,605,339 39,308 Micro United States p IndustrialsCollegium Pharmaceutical Inc 0.01 1,604,154 108,830 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Haynes International Inc 0.01 1,601,405 45,110 Micro United States p IndustrialsGreat Lakes Dredge & Dock Corp 0.01 1,600,394 258,128 Micro United States p IndustrialsGolden Entertainment Inc 0.01 1,600,050 66,641 Micro United States t Consumer CyclicalTriple-S Management Corp B 0.01 1,596,734 84,528 Micro Puerto Rico y Financial ServicesFRP Holdings Inc 0.01 1,595,722 25,696 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................First Connecticut Bancorp Inc 0.01 1,594,961 53,975 Micro United States y Financial ServicesThe York Water Co 0.01 1,594,024 52,435 Micro United States f UtilitiesAccess National Corp 0.01 1,592,089 58,727 Micro United States y Financial ServicesKura Oncology Inc 0.01 1,590,750 90,900 Micro United States d HealthcareRepublic Bancorp Inc Class A 0.01 1,590,542 34,502 Small United States y Financial Services................................................................................................................................................................................................................................................................................................Atlantic Capital Bancshares Inc 0.01 1,590,044 94,928 Micro United States y Financial ServicesOmnova Solutions Inc 0.01 1,589,396 161,360 Micro United States r Basic MaterialsWaterstone Financial Inc 0.01 1,588,656 92,633 Micro United States y Financial ServicesUnifi Inc 0.01 1,587,727 56,044 Micro United States t Consumer CyclicalPC Connection Inc 0.01 1,586,090 40,784 Small United States a Technology................................................................................................................................................................................................................................................................................................Nautilus Inc 0.01 1,576,224 112,991 Micro United States t Consumer CyclicalFrontline Ltd 0.01 1,571,547 270,490 Small United States p IndustrialsNN Inc 0.01 1,568,533 100,547 Micro United States p IndustrialsVeritiv Corp 0.01 1,558,430 42,814 Micro United States p IndustrialsWeis Markets Inc 0.01 1,558,190 35,903 Small United States s Consumer Defensive................................................................................................................................................................................................................................................................................................ZIOPHARM Oncology Inc 0.01 1,557,606 486,752 Micro United States d HealthcareVoyager Therapeutics Inc 0.01 1,552,840 82,074 Micro United States d HealthcareSynergy Pharmaceuticals Inc 0.01 1,551,922 912,895 Micro United States d HealthcareNine Energy Service Inc 0.01 1,550,406 50,700 Small United States o EnergySuperior Industries International Inc 0.01 1,548,021 90,793 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................TG Therapeutics Inc 0.01 1,540,218 275,039 Micro United States d HealthcareBankFinancial Corp 0.01 1,536,839 96,414 Micro United States y Financial ServicesDermira Inc 0.01 1,536,202 140,936 Micro United States d HealthcareScorpio Bulkers Inc 0.01 1,535,564 211,802 Micro Monaco p IndustrialsEnphase Energy Inc 0.01 1,534,162 316,322 Micro United States a Technology................................................................................................................................................................................................................................................................................................Care.com Inc 0.01 1,532,223 69,300 Micro United States a TechnologyWestern Asset Mortgage Capital Corp 0.01 1,523,140 152,010 Micro United States u Real EstateWestwood Holdings Group Inc 0.01 1,518,207 29,343 Micro United States y Financial ServicesRhythm Pharmaceuticals Inc 0.01 1,516,840 52,000 Small United States d HealthcareCedar Realty Trust Inc 0.01 1,516,723 325,477 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................NanoString Technologies Inc 0.01 1,514,748 84,955 Micro United States d HealthcareLSC Communications Inc 0.01 1,510,663 136,588 Micro United States p IndustrialsTTEC Holdings Inc 0.01 1,509,530 58,283 Small United States p IndustrialsSystemax Inc 0.01 1,509,311 45,820 Small United States t Consumer CyclicalCaesarstone Ltd 0.01 1,508,894 81,342 Micro United States r Basic Materials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 35: Small/Mid-Cap Indexed Equity Fund

Page 35 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

DHT Holdings Inc 0.01 1,508,216 320,897 Micro United States p IndustrialsMerchants Bancorp 0.01 1,507,406 59,300 Small United States y Financial ServicesAbeona Therapeutics Inc 0.01 1,502,720 117,400 Micro United States d HealthcareZagg Inc 0.01 1,499,514 101,662 Micro United States t Consumer CyclicalHaverty Furniture Companies Inc 0.01 1,498,557 67,808 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Alta Mesa Resources Inc A 0.01 1,498,530 358,500 Small United States p IndustrialsNational Research Corp Class A 0.01 1,498,413 38,819 Small United States d HealthcareCRA International Inc 0.01 1,496,958 29,808 Micro United States p IndustrialsOxford Immunotec Global PLC 0.01 1,496,033 92,177 Micro United States d HealthcarePDL BioPharma Inc 0.01 1,487,644 565,644 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Farmers National Banc Corp 0.01 1,487,206 97,203 Micro United States y Financial ServicesBristow Group Inc 0.01 1,481,097 122,102 Micro United States o EnergyTPI Composites Inc 0.01 1,479,375 51,817 Small United States p IndustrialsArmstrong Flooring Inc 0.01 1,477,811 81,647 Micro United States r Basic MaterialsPetIQ Inc Class A 0.01 1,474,125 37,500 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................R.R.Donnelley & Sons Co 0.01 1,473,142 272,804 Micro United States p IndustrialsCAI International Inc 0.01 1,472,462 64,384 Micro United States p IndustrialsModel N Inc 0.01 1,466,759 92,540 Micro United States a TechnologyFTS International Inc 0.01 1,464,318 124,200 Small United States o EnergySwitch Inc Class A 0.01 1,462,320 135,400 Small United States a Technology................................................................................................................................................................................................................................................................................................PennyMac Financial Services Inc Class A 0.01 1,459,928 69,853 Micro United States y Financial ServicesNexeo Solutions Inc 0.01 1,456,746 118,918 Small United States r Basic MaterialsGlobal Indemnity Ltd 0.01 1,452,392 38,525 Micro United States y Financial ServicesDel Taco Restaurants Inc 0.01 1,450,776 122,843 Micro United States t Consumer CyclicalWinmark Corp 0.01 1,440,050 8,675 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Emerald Expositions Events Inc 0.01 1,435,408 87,100 Small United States p IndustrialsByline Bancorp Inc 0.01 1,432,370 63,100 Small United States y Financial ServicesHibbett Sports Inc 0.01 1,427,747 75,944 Micro United States t Consumer CyclicalSierra Bancorp 0.01 1,425,608 49,329 Micro United States y Financial ServicesHooker Furniture Corp 0.01 1,422,439 42,084 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Citizens Inc 0.01 1,421,322 169,205 Micro United States y Financial ServicesFarmers & Merchants Bancorp Inc 0.01 1,418,503 33,306 Micro United States y Financial ServicesBioScrip Inc 0.01 1,418,166 457,473 Micro United States d HealthcareCentral Garden & Pet Co 0.01 1,414,498 39,248 Small United States s Consumer DefensiveCiti Trends Inc 0.01 1,414,333 49,160 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................SandRidge Energy Inc 0.01 1,410,502 129,761 Micro United States o EnergyCasa Systems Inc 0.01 1,410,100 95,600 Small United States a TechnologyAllied Motion Technologies Inc 0.01 1,409,900 25,903 Micro United States a TechnologyLandec Corp 0.01 1,404,677 97,547 Micro United States s Consumer DefensiveEVO Payments Inc 0.01 1,398,150 58,500 Small United States a Technology................................................................................................................................................................................................................................................................................................Sterling Construction Co Inc 0.01 1,397,202 97,570 Micro United States p IndustrialsMISTRAS Group Inc 0.01 1,394,313 64,343 Micro United States p IndustrialsKindred Biosciences Inc 0.01 1,392,419 99,815 Micro United States d HealthcareAclaris Therapeutics Inc 0.01 1,390,769 95,783 Micro United States d HealthcareOrchid Island Capital Inc 0.01 1,390,180 191,749 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................On Deck Capital Inc 0.01 1,389,928 183,610 Micro United States y Financial ServicesThe Habit Restaurants Inc A 0.01 1,389,054 87,088 Micro United States t Consumer CyclicalMammoth Energy Services Inc 0.01 1,388,070 47,700 Small United States o EnergyUSA Technologies Inc 0.01 1,385,129 192,379 Micro United States a TechnologyHawkins Inc 0.01 1,384,098 33,392 Micro United States r Basic Materials................................................................................................................................................................................................................................................................................................American National Bankshares Inc 0.01 1,379,079 35,361 Micro United States y Financial ServicesRosetta Stone Inc 0.01 1,372,768 69,018 Micro United States a TechnologyCytoSorbents Corp 0.01 1,371,270 106,300 Micro United States d HealthcareAdverum Biotechnologies Inc 0.01 1,370,930 226,600 Micro United States d HealthcareKronos Worldwide Inc 0.01 1,370,606 84,345 Small United States r Basic Materials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 36: Small/Mid-Cap Indexed Equity Fund

Page 36 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Greenlight Capital Re Ltd Class A 0.01 1,369,121 110,413 Micro United States y Financial ServicesWest Bancorp Inc 0.01 1,366,854 58,164 Micro United States y Financial ServicesEloxx Pharmaceuticals Inc 0.01 1,366,608 80,200 Micro United States d HealthcareMidWestOne Financial Group Inc 0.01 1,366,010 41,009 Micro United States y Financial ServicesMarinus Pharmaceuticals Inc 0.01 1,365,680 136,568 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Corbus Pharmaceuticals Holdings Inc 0.01 1,365,040 180,800 Micro United States d HealthcareBrightView Holdings Inc 0.01 1,364,250 85,000 Small United States p IndustrialsTitan International Inc 0.01 1,362,972 183,689 Micro United States p IndustrialsAccuray Inc 0.01 1,362,424 302,761 Micro United States d HealthcareInnerWorkings Inc 0.01 1,353,298 170,871 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Senseonics Holdings Inc 0.01 1,351,341 283,300 Small United States d HealthcareAmerican Railcar Industries Inc 0.01 1,351,099 29,308 Small United States p IndustrialsAres Commercial Real Estate Corp 0.01 1,348,412 96,522 Micro United States u Real EstateEros International PLC 0.01 1,347,118 111,794 Small United States t Consumer CyclicalPCSB Financial Corp 0.01 1,346,508 66,200 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Abraxas Petroleum Corp 0.01 1,342,893 576,349 Micro United States o EnergyMacatawa Bank Corp 0.01 1,340,807 114,501 Micro United States y Financial ServicesSIGA Technologies Inc 0.01 1,338,727 194,300 Micro United States d HealthcarepdvWireless Inc 0.01 1,338,101 39,472 Micro United States i Communication ServicesRepublic First Bancorp Inc 0.01 1,335,120 186,730 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Blue Bird Corp 0.01 1,334,074 54,452 Micro United States t Consumer CyclicalPark Electrochemical Corp 0.01 1,332,648 68,376 Micro United States a TechnologyBarnes & Noble Inc 0.01 1,329,203 229,173 Micro United States t Consumer CyclicalCommunity Health Systems Inc 0.01 1,328,955 384,091 Micro United States d HealthcareSeacor Marine Holdings Inc 0.01 1,328,562 58,708 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Ribbon Communications Inc 0.01 1,319,536 193,197 Small United States i Communication ServicesPowell Industries Inc 0.01 1,319,030 36,377 Micro United States p IndustrialsDrive Shack Inc 0.01 1,314,007 220,471 Micro United States t Consumer CyclicalAvid Bioservices Inc 0.01 1,311,330 191,156 Micro United States d HealthcareHeritage Insurance Holdings Inc 0.01 1,310,458 88,425 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Perry Ellis International Inc 0.01 1,300,143 47,572 Micro United States t Consumer CyclicalThe Meet Group Inc 0.01 1,293,489 261,311 Micro United States a TechnologyLimoneira Co 0.01 1,292,497 49,502 Micro United States s Consumer DefensiveCalix Inc 0.01 1,292,452 159,562 Micro United States a TechnologyTronc Inc 0.01 1,291,458 79,085 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Vera Bradley Inc 0.01 1,290,004 84,535 Micro United States t Consumer CyclicalCovenant Transportation Group Inc Class A 0.01 1,287,910 44,319 Micro United States p IndustrialsCodorus Valley Bancorp Inc 0.01 1,284,714 41,124 Micro United States y Financial ServicesWideOpenWest Inc 0.01 1,284,677 114,601 Small United States i Communication ServicesIntriCon Corp 0.01 1,283,496 22,838 Micro United States a Technology................................................................................................................................................................................................................................................................................................Vectrus Inc 0.01 1,281,160 41,076 Micro United States p IndustrialsMobileIron Inc 0.01 1,278,742 241,272 Micro United States a TechnologySouthern National Bancorp of Virginia Inc 0.01 1,275,604 78,741 Micro United States y Financial ServicesCECO Environmental Corp 0.01 1,265,938 160,652 Micro United States p IndustrialsDigi International Inc 0.01 1,264,704 94,030 Micro United States a Technology................................................................................................................................................................................................................................................................................................Intrepid Potash Inc 0.01 1,263,357 351,910 Micro United States r Basic MaterialsAVEO Pharmaceuticals Inc 0.01 1,261,322 381,064 Micro United States d HealthcareDiebold Nixdorf Inc 0.01 1,257,772 279,505 Micro United States a TechnologyTextainer Group Holdings Ltd 0.01 1,256,038 98,128 Small United States p IndustrialsHCI Group Inc 0.01 1,253,962 28,662 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Assertio Therapeutics Inc 0.01 1,251,687 212,872 Micro United States d HealthcareCambridge Bancorp 0.01 1,250,861 13,900 Micro United States y Financial ServicesClean Energy Fuels Corp 0.01 1,249,266 480,487 Micro United States o EnergyGoosehead Insurance Inc Class A 0.01 1,246,416 36,800 Small United States y Financial ServicesInspire Medical Systems Inc 0.01 1,241,360 29,500 Small United States d Healthcare

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 37: Small/Mid-Cap Indexed Equity Fund

Page 37 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Catalyst Pharmaceuticals Inc 0.01 1,231,403 325,768 Micro United States d HealthcareAmerican Software Inc Class A 0.01 1,231,219 101,502 Micro United States a TechnologyDaseke Inc 0.01 1,230,573 153,438 Micro United States p IndustrialsAllakos Inc 0.01 1,230,027 27,340 Small United States d HealthcareAltisource Portfolio Solutions SA 0.01 1,228,930 38,130 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Exela Technologies Inc 0.01 1,225,647 171,900 Small United States a TechnologyBeazer Homes USA Inc 0.01 1,223,366 116,511 Micro United States t Consumer CyclicalDeciphera Pharmaceuticals Inc 0.01 1,216,970 31,430 Small United States d HealthcareEnergy Recovery Inc 0.01 1,215,213 135,778 Micro United States p IndustrialsRBB Bancorp 0.01 1,212,750 49,500 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................ChemoCentryx Inc 0.01 1,209,913 95,721 Micro United States d HealthcareArbutus Biopharma Corp 0.01 1,209,600 128,000 Micro Canada d HealthcareGreif Inc Class B 0.01 1,209,209 20,975 Small United States t Consumer Cyclical22nd Century Group Inc 0.01 1,203,804 428,400 Micro United States d HealthcareDynex Capital Inc 0.01 1,203,013 188,560 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Digimarc Corp 0.01 1,198,182 38,098 Micro United States a TechnologyEntravision Communications Corp 0.01 1,194,272 243,729 Micro United States t Consumer CyclicalPark-Ohio Holdings Corp 0.01 1,193,912 31,132 Micro United States p IndustrialsCryoPort Inc 0.01 1,192,611 93,100 Micro United States t Consumer CyclicalCostamare Inc 0.01 1,181,368 182,029 Small United States p Industrials................................................................................................................................................................................................................................................................................................BioSpecifics Technologies Corp 0.01 1,180,036 20,175 Micro United States d HealthcareChannelAdvisor Corp 0.01 1,175,442 94,413 Micro United States a TechnologySurgery Partners Inc 0.01 1,173,530 71,123 Small United States d HealthcareUtah Medical Products Inc 0.01 1,168,080 12,400 Micro United States d HealthcareGNC Holdings Inc 0.01 1,167,215 281,936 Micro United States s Consumer Defensive................................................................................................................................................................................................................................................................................................HarborOne Bancorp Inc 0.01 1,161,483 60,747 Micro United States y Financial ServicesKKR Real Estate Finance Trust Inc 0.01 1,157,839 57,404 Small United States y Financial ServicesZafgen Inc 0.01 1,156,141 98,900 Micro United States d HealthcareAptinyx Inc 0.01 1,155,504 39,900 Small United States d HealthcareOppenheimer Holdings Inc Class A 0.01 1,154,917 36,548 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Exantas Capital Corp 0.01 1,153,932 105,094 Micro United States u Real EstateInnovative Industrial Properties Inc A 0.01 1,152,936 23,900 Micro United States u Real EstateSpok Holdings Inc 0.01 1,152,367 74,829 Micro United States i Communication ServicesHome Bancorp Inc 0.01 1,152,220 26,500 Micro United States y Financial ServicesWestern New England Bancorp Inc 0.01 1,146,679 106,174 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Central European Media Enterprises Ltd Class A 0.01 1,143,540 304,944 Small Czech Republic t Consumer CyclicalCarriage Services Inc 0.01 1,143,034 53,041 Micro United States t Consumer Cyclical1-800-Flowers.com Inc Class A 0.01 1,141,461 96,734 Small United States t Consumer CyclicalImmersion Corp 0.01 1,141,042 107,951 Micro United States a TechnologyHeritage-Crystal Clean Inc 0.01 1,140,111 53,401 Micro United States p Industrials................................................................................................................................................................................................................................................................................................A10 Networks Inc 0.01 1,139,131 187,357 Micro United States a TechnologyKeryx Biopharmaceuticals Inc 0.01 1,138,878 334,964 Micro United States d HealthcareNorthrim BanCorp Inc 0.01 1,138,013 27,389 Micro United States y Financial ServicesTerritorial Bancorp Inc 0.01 1,137,675 38,500 Micro United States y Financial ServicesLindblad Expeditions Holdings Inc 0.01 1,134,120 76,269 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Zix Corp 0.01 1,133,471 204,229 Micro United States a TechnologyEnterprise Bancorp Inc 0.01 1,132,600 32,934 Micro United States y Financial ServicesNuvectra Corp 0.01 1,124,497 51,160 Micro United States d HealthcareArdagh Group SA 0.01 1,123,237 67,300 Medium Luxembourg t Consumer CyclicalGraham Corp 0.01 1,120,067 39,761 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Evolution Petroleum Corp 0.01 1,119,487 101,311 Micro United States o EnergyCURO Group Holdings Corp 0.01 1,118,510 37,000 Small United States y Financial ServicesBluerock Residential Growth REIT Inc Class A 0.01 1,118,307 114,113 Micro United States u Real EstateCross Country Healthcare Inc 0.01 1,111,792 127,353 Micro United States p IndustrialsYRC Worldwide Inc 0.01 1,110,709 123,687 Micro United States p Industrials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 38: Small/Mid-Cap Indexed Equity Fund

Page 38 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Citizens & Northern Corp 0.01 1,109,231 42,418 Micro United States y Financial ServicesTurning Point Brands Inc 0.01 1,109,014 26,749 Small United States s Consumer DefensiveGogo Inc 0.01 1,108,055 213,498 Micro United States i Communication ServicesAlbireo Pharma Inc 0.01 1,107,950 33,615 Micro United States d HealthcareReady Capital Corp 0.01 1,103,629 66,284 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Tricida Inc 0.01 1,099,800 36,000 Small United States d HealthcareJernigan Capital Inc 0.01 1,096,386 56,837 Micro United States u Real EstateUniversal Logistics Holdings Inc 0.01 1,095,794 29,777 Small United States p IndustrialsKadmon Holdings Inc 0.01 1,089,174 326,100 Micro United States d HealthcareTrecora Resources 0.01 1,088,290 77,735 Micro United States r Basic Materials................................................................................................................................................................................................................................................................................................Natural Gas Services Group Inc 0.01 1,087,916 51,560 Micro United States o EnergyHingham Institution for Savings 0.01 1,087,400 4,947 Micro United States y Financial ServicesPanhandle Oil and Gas Inc Class A 0.01 1,085,782 58,850 Micro United States o EnergyEvans Bancorp Inc 0.01 1,085,531 23,121 Micro United States y Financial ServicesNewmark Group Inc Class A 0.01 1,085,430 97,000 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Avrobio Inc 0.01 1,084,083 20,900 Small United States d HealthcareGeron Corp 0.01 1,081,207 614,322 Micro United States d HealthcareConcert Pharmaceuticals Inc 0.01 1,079,432 72,738 Micro United States d HealthcareComputer Programs and Systems Inc 0.01 1,077,410 40,127 Micro United States a TechnologyMiller Industries Inc. 0.01 1,073,956 39,924 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................National Bankshares Inc 0.01 1,073,529 23,620 Micro United States y Financial ServicesOoma Inc 0.01 1,072,360 64,600 Micro United States i Communication ServicesRegional Management Corp 0.01 1,071,380 37,162 Micro United States y Financial ServicesFirst Bancorp Inc 0.01 1,069,862 36,930 Micro United States y Financial ServicesFluidigm Corp 0.01 1,066,022 142,326 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................VSE Corp 0.01 1,060,856 32,021 Micro United States p IndustrialsAmerican Renal Associates Holdings Inc 0.01 1,060,460 48,982 Micro United States d HealthcareNordic American Tankers Ltd 0.01 1,058,702 506,556 Micro United States p IndustrialsTitan Machinery Inc 0.01 1,058,663 68,367 Micro United States p IndustrialsMedEquities Realty Trust Inc 0.01 1,053,969 108,433 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Brightcove Inc 0.01 1,050,109 125,013 Micro United States a TechnologyGlobal Medical REIT Inc 0.01 1,049,473 111,409 Micro United States u Real EstatePeoples Financial Services Corp 0.01 1,049,442 24,751 Micro United States y Financial ServicesPotbelly Corp 0.01 1,048,993 85,284 Micro United States t Consumer CyclicalSavara Inc 0.01 1,047,098 93,826 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................FedNat Holding Co 0.01 1,046,846 41,085 Micro United States y Financial ServicesArtesian Resources Corp Class A 0.01 1,044,846 28,408 Micro United States f UtilitiesPICO Holdings Inc 0.01 1,044,373 83,217 Micro United States u Real EstateSelecta Biosciences Inc 0.01 1,043,918 67,133 Micro United States d HealthcareSummit Financial Group Inc 0.01 1,043,150 44,944 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................RigNet Inc 0.01 1,042,917 51,249 Micro United States a TechnologyBlueLinx Holdings Inc 0.01 1,042,319 33,100 Micro United States r Basic MaterialsParatek Pharmaceuticals Inc 0.00 1,040,752 107,294 Micro United States d HealthcareCovia Holdings Corp 0.00 1,028,285 114,636 Small United States r Basic MaterialsSyros Pharmaceuticals Inc 0.00 1,026,642 86,200 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Franklin Covey Co 0.00 1,020,143 43,135 Micro United States s Consumer DefensiveGold Resource Corp 0.00 1,011,691 196,827 Micro United States r Basic MaterialsSMART Global Holdings Inc 0.00 1,011,648 35,200 Small Brazil a TechnologyLiberty Media Corp 0.00 1,006,605 36,899 Small United States t Consumer CyclicalCommercial Vehicle Group Inc 0.00 1,006,501 109,880 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Tilly's Inc A 0.00 1,005,525 53,062 Micro United States t Consumer CyclicalNeoPhotonics Corp 0.00 1,004,126 120,979 Micro United States a TechnologyNatural Grocers by Vitamin Cottage Inc 0.00 996,848 59,020 Micro United States s Consumer DefensiveUFP Technologies Inc 0.00 996,697 27,121 Micro United States t Consumer CyclicalHurco Companies Inc 0.00 996,575 22,097 Micro United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 39: Small/Mid-Cap Indexed Equity Fund

Page 39 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

RCI Hospitality Holdings Inc 0.00 996,347 33,649 Micro United States t Consumer CyclicalTile Shop Holdings Inc 0.00 995,087 139,173 Micro United States t Consumer CyclicalEnergy XXI Gulf Coast Inc 0.00 994,464 118,955 Micro United States o EnergyLadenburg Thalmann Financial Services Inc 0.00 994,129 368,196 Micro United States y Financial ServicesDaktronics Inc 0.00 993,908 126,774 Micro United States a Technology................................................................................................................................................................................................................................................................................................BayCom Corp 0.00 989,828 37,100 Micro United States y Financial ServicesAvalara Inc 0.00 988,519 28,300 Small United States a TechnologyAXT Inc 0.00 988,116 138,198 Micro United States a TechnologyMetropolitan Bank Holding Corp 0.00 986,880 24,000 Micro United States y Financial ServicesTocagen Inc 0.00 985,288 63,200 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Aquantia Corp 0.00 984,830 77,000 Micro United States a TechnologyCentral Valley Community Bancorp 0.00 982,326 45,457 Micro United States y Financial Servicese.l.f. Beauty Inc 0.00 981,203 77,078 Micro United States s Consumer DefensiveWilldan Group Inc 0.00 980,765 28,880 Micro United States p IndustrialsDuluth Holdings Inc B 0.00 978,060 31,089 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Reading International Inc 0.00 977,056 61,839 Micro United States t Consumer CyclicalRevlon Inc A 0.00 975,290 43,735 Small United States s Consumer DefensivePieris Pharmaceuticals Inc 0.00 974,960 174,100 Micro United States d HealthcareAdvanced Emissions Solutions Inc 0.00 974,489 81,479 Micro United States p IndustrialsBojangles Inc 0.00 972,913 61,969 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Eagle Bulk Shipping Inc 0.00 972,783 173,093 Micro United States p IndustrialsInsys Therapeutics Inc 0.00 954,717 94,714 Small United States d HealthcareOrthoPediatrics Corp 0.00 952,640 26,000 Micro United States d HealthcareMannKind Corp 0.00 951,882 520,154 Micro United States d HealthcareHemisphere Media Group Inc 0.00 947,693 67,935 Micro United States i Communication Services................................................................................................................................................................................................................................................................................................Civista Bancshares Inc 0.00 944,906 39,224 Micro United States y Financial ServicesInternap Corp 0.00 942,653 74,636 Micro United States a TechnologyArlington Asset Investment Corp A 0.00 942,565 100,917 Micro United States y Financial ServicesHC2 Holdings Inc 0.00 942,382 153,984 Micro United States i Communication ServicesBSB Bancorp Inc 0.00 942,368 28,907 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Southern Missouri Bancorp Inc 0.00 941,738 25,268 Micro United States y Financial ServicesDaily Journal Corp 0.00 939,177 3,897 Micro United States t Consumer CyclicalRa Pharmaceuticals Inc 0.00 938,545 51,882 Micro United States d HealthcarePDF Solutions Inc 0.00 937,422 103,812 Micro United States a TechnologyCulp Inc 0.00 932,692 38,541 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................PAR Technology Corp 0.00 931,418 41,918 Micro United States a TechnologyRTI Surgical Inc 0.00 930,078 206,684 Micro United States d HealthcareVeracyte Inc 0.00 929,740 97,355 Micro United States d HealthcareCapital City Bank Group Inc 0.00 926,388 39,691 Micro United States y Financial ServicesBellicum Pharmaceuticals Inc 0.00 925,552 150,252 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................U S Xpress Enterprises Inc Class A 0.00 924,600 67,000 Micro United States p IndustrialsSouthern First Bancshares Inc 0.00 924,336 23,520 Micro United States y Financial ServicesEl Pollo Loco Holdings Inc 0.00 923,994 73,625 Micro United States t Consumer CyclicalAmeresco Inc Class A 0.00 922,972 67,617 Micro United States p IndustrialsMarlin Business Services Corp 0.00 921,902 31,955 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Uranium Energy Corp 0.00 921,217 535,591 Micro United States r Basic MaterialsCapital Senior Living Corp 0.00 918,993 97,351 Micro United States d HealthcarePioneer Energy Services Corp 0.00 915,627 310,382 Micro United States o EnergyBusiness First Bancshares Inc 0.00 913,320 34,400 Micro United States y Financial ServicesRadiant Logistics Inc 0.00 909,525 153,896 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Zoe's Kitchen Inc 0.00 907,928 71,378 Micro United States t Consumer CyclicalAratana Therapeutics Inc 0.00 904,014 154,797 Micro United States d HealthcareHomology Medicines Inc 0.00 902,970 39,500 Small United States d HealthcareNorwood Financial Corp 0.00 898,761 22,951 Micro United States y Financial ServicesFirst Internet Bancorp 0.00 897,940 29,489 Micro United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 40: Small/Mid-Cap Indexed Equity Fund

Page 40 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

SmartFinancial Inc 0.00 897,538 38,112 Micro United States y Financial ServicesCadiz Inc 0.00 896,393 80,394 Micro United States f UtilitiesEra Group Inc 0.00 892,053 72,231 Micro United States p IndustrialsAgilysys Inc 0.00 886,606 54,393 Micro United States a TechnologyACNB Corp 0.00 884,951 23,789 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Dova Pharmaceuticals Inc 0.00 884,934 42,200 Micro United States d HealthcareNathan's Famous Inc 0.00 882,669 10,712 Micro United States t Consumer CyclicalFarmer Bros Co 0.00 882,314 33,421 Micro United States s Consumer DefensiveSonos Inc 0.00 882,200 55,000 Small United States a TechnologyInvestors Title Co 0.00 874,927 5,211 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................CASI Pharmaceuticals Inc 0.00 873,855 187,121 Micro United States d HealthcareEnergous Corp 0.00 873,103 86,275 Micro United States a TechnologyConvergeOne Holdings Inc A 0.00 871,416 93,600 Small United States a TechnologyEnergy Fuels Inc 0.00 870,840 265,500 Micro United States r Basic MaterialsRubius Therapeutics Inc 0.00 870,408 36,267 Small United States d Healthcare................................................................................................................................................................................................................................................................................................Atlantic Power Corp 0.00 868,208 394,640 Micro United States f UtilitiesGuaranty Bancshares Inc 0.00 867,601 28,700 Micro United States y Financial ServicesSimulations Plus Inc 0.00 867,590 42,950 Micro United States a TechnologyRed Lion Hotels Corp 0.00 867,162 69,373 Micro United States t Consumer CyclicalIES Holdings Inc 0.00 865,722 44,396 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Cherry Hill Mortgage Investment Corp 0.00 864,022 47,736 Micro United States u Real EstateConsolidated-Tomoka Land Co 0.00 863,139 13,859 Micro United States u Real EstateA V Homes Inc 0.00 862,260 43,113 Micro United States t Consumer CyclicalCorium International Inc 0.00 861,606 90,600 Micro United States d HealthcareMDC Partners Inc A 0.00 861,332 207,550 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Flexsteel Industries Inc 0.00 860,765 28,943 Micro United States t Consumer CyclicalBel Fuse Inc Class B 0.00 859,607 32,438 Micro United States a TechnologySI Financial Group Inc 0.00 858,298 61,307 Micro United States y Financial ServicesReliant Bancorp Inc 0.00 857,618 33,540 Micro United States y Financial ServicesBank of Commerce Holdings Inc 0.00 856,391 70,196 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Premier Financial Bancorp Inc 0.00 850,743 46,011 Micro United States y Financial ServicesGAMCO Investors Inc 0.00 849,162 36,258 Micro United States y Financial ServicesHoward Bancorp Inc 0.00 847,140 47,861 Micro United States y Financial ServicesMitek Systems Inc 0.00 846,508 120,072 Micro United States a TechnologyForestar Group Inc 0.00 843,527 39,789 Small United States u Real Estate................................................................................................................................................................................................................................................................................................Provident Bancorp Inc 0.00 842,937 29,117 Micro United States y Financial ServicesCivitas Solutions Inc 0.00 842,210 57,099 Micro United States d HealthcareLands' End Inc 0.00 841,259 47,935 Micro United States t Consumer CyclicalThe Container Store Group Inc 0.00 837,295 75,432 Micro United States t Consumer CyclicalWeyco Group Inc 0.00 836,545 23,779 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Green Brick Partners Inc 0.00 831,260 82,303 Micro United States u Real EstateCentury Bancorp Inc Class A 0.00 831,092 11,503 Micro United States y Financial ServicesSynlogic Inc 0.00 827,235 58,215 Micro United States d HealthcareAmes National Corp 0.00 826,384 30,326 Micro United States y Financial ServicesFunko Inc Class A 0.00 824,412 34,800 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................T2 Biosystems Inc 0.00 823,970 110,600 Micro United States d HealthcareClear Channel Outdoor Holdings Inc 0.00 823,224 138,357 Small United States t Consumer CyclicalBioTime Inc 0.00 822,989 350,208 Micro United States d HealthcareAthersys Inc 0.00 822,904 391,859 Micro United States d HealthcareRush Enterprises Inc Class B 0.00 819,540 20,545 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Aldeyra Therapeutics Inc 0.00 818,340 59,300 Micro United States d HealthcareVirnetX Holding Corp 0.00 817,293 175,762 Micro United States a TechnologyMaiden Holdings Ltd 0.00 816,724 286,570 Micro United States y Financial ServicesDel Frisco's Restaurant Group Inc 0.00 815,882 98,299 Micro United States t Consumer CyclicalAlpha & Omega Semiconductor Ltd 0.00 815,379 70,110 Small Hong Kong a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 41: Small/Mid-Cap Indexed Equity Fund

Page 41 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Investar Holding Corp 0.00 814,092 30,320 Micro United States y Financial ServicesSienna Biopharmaceuticals Inc 0.00 813,618 54,900 Micro United States d HealthcareServiceSource International Inc 0.00 811,455 284,721 Micro United States a TechnologySpeedway Motorsports Inc 0.00 810,140 45,386 Small United States t Consumer CyclicalUltra Petroleum Corp 0.00 808,208 721,614 Micro United States o Energy................................................................................................................................................................................................................................................................................................Shore Bancshares Inc 0.00 806,444 45,255 Micro United States y Financial ServicesGAIN Capital Holdings Inc 0.00 805,727 123,958 Micro United States y Financial ServicesMidsouth Bancorp Inc 0.00 803,356 52,166 Micro United States y Financial ServicesFirst Bank 0.00 800,835 60,900 Micro United States y Financial ServicesAmber Road Inc 0.00 800,586 83,221 Micro United States a Technology................................................................................................................................................................................................................................................................................................EMC Insurance Group Inc 0.00 798,654 32,308 Micro United States y Financial ServicesFarmland Partners Inc 0.00 797,615 119,047 Micro United States u Real EstateOrion Group Holdings Inc 0.00 796,502 105,497 Micro United States p IndustrialsProtective Insurance Corp Class B 0.00 796,044 34,686 Micro United States y Financial ServicesLSB Industries Inc 0.00 794,165 81,203 Micro United States r Basic Materials................................................................................................................................................................................................................................................................................................Reis Inc 0.00 793,753 34,511 Micro United States p IndustrialsGreat Ajax Corp 0.00 792,987 58,265 Micro United States u Real EstateBarnes & Noble Education Inc 0.00 789,972 137,148 Micro United States t Consumer CyclicalLilis Energy Inc 0.00 788,072 160,831 Micro United States o EnergySeneca Foods Corp Class A 0.00 786,086 23,326 Micro United States s Consumer Defensive................................................................................................................................................................................................................................................................................................RGC Resources Inc 0.00 784,927 29,387 Micro United States f UtilitiesVillage Super Market Inc Class A 0.00 783,469 28,804 Micro United States s Consumer DefensiveBassett Furniture Industries Inc 0.00 779,832 36,698 Micro United States t Consumer CyclicalIndependence Holding Co 0.00 777,414 21,655 Micro United States y Financial ServicesCellular Biomedicine Group Inc 0.00 776,820 42,800 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Safeguard Scientifics Inc 0.00 775,928 82,987 Micro United States y Financial ServicesPacific City Financial Corp 0.00 775,534 40,100 Micro United States y Financial ServicesKVH Industries Inc 0.00 774,184 59,098 Micro United States a TechnologyAquaVenture Holdings Ltd 0.00 773,143 42,786 Micro United States f UtilitiesCastlight Health Inc B 0.00 771,857 285,873 Micro United States a Technology................................................................................................................................................................................................................................................................................................MutualFirst Financial Inc 0.00 769,686 20,887 Micro United States y Financial ServicesTrinity Place Holdings Inc 0.00 767,559 126,036 Micro United States u Real EstateArdmore Shipping Corp 0.00 763,828 117,512 Micro United States p IndustrialsWindstream Holdings Inc 0.00 761,068 155,320 Micro United States i Communication ServicesMBT Financial Corp 0.00 751,473 66,502 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Unity Bancorp Inc 0.00 750,868 32,789 Micro United States y Financial ServicesPenns Woods Bancorp Inc 0.00 749,121 17,241 Micro United States y Financial ServicesHovnanian Enterprises Inc 0.00 748,451 467,782 Micro United States t Consumer CyclicalOcular Therapeutix Inc 0.00 746,556 108,511 Micro United States d HealthcareOptiNose Inc 0.00 745,800 60,000 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................GP Strategies Corp 0.00 744,686 44,195 Micro United States s Consumer DefensiveFirst Business Financial Services Inc 0.00 739,071 31,884 Micro United States y Financial ServicesEarthstone Energy Inc A 0.00 737,090 78,581 Micro United States o EnergyAgroFresh Solutions Inc 0.00 736,847 118,274 Micro United States r Basic MaterialsRockwell Medical Inc 0.00 736,297 174,478 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Clarus Corp 0.00 735,963 66,603 Micro United States t Consumer CyclicalCommunity Bankers Trust Corp 0.00 735,680 83,600 Micro United States y Financial ServicesSterling Bancorp Inc 0.00 734,019 64,900 Micro United States y Financial ServicesLawson Products Inc 0.00 733,867 21,648 Micro United States p IndustrialsFreightCar America Inc 0.00 733,435 45,640 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Sportsman's Warehouse Holdings Inc 0.00 732,087 125,143 Micro United States t Consumer CyclicalDorian LPG Ltd 0.00 731,686 91,805 Micro United States p IndustrialsPreformed Line Products Co 0.00 727,257 10,348 Micro United States a TechnologyTwin Disc Inc 0.00 726,543 31,534 Micro United States p IndustrialsCraft Brew Alliance Inc 0.00 725,973 44,402 Micro United States s Consumer Defensive

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 42: Small/Mid-Cap Indexed Equity Fund

Page 42 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Palatin Technologies Inc 0.00 725,483 727,301 Micro United States d HealthcarePure Cycle Corp 0.00 725,479 62,812 Micro United States f UtilitiesOmega Flex Inc 0.00 724,266 10,178 Small United States p IndustrialsCentury Casinos Inc 0.00 723,254 96,951 Micro United States t Consumer CyclicalTeligent Inc 0.00 718,912 182,003 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Amyris Inc 0.00 716,593 90,251 Micro United States r Basic MaterialsPyxus International Inc 0.00 716,565 31,155 Micro United States s Consumer DefensiveRocky Brands Inc 0.00 716,075 25,303 Micro United States t Consumer CyclicalHamilton Beach Brands Holding Co Class A 0.00 714,761 32,578 Micro United States a TechnologyBiglari Holdings Inc 0.00 709,985 3,915 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................BG Staffing Inc 0.00 704,698 25,908 Micro United States p IndustrialsTeekay Tankers Ltd 0.00 698,487 707,114 Micro United States p IndustrialsAvid Technology Inc 0.00 697,647 117,647 Micro United States a TechnologyBasic Energy Services Inc 0.00 697,302 69,800 Micro United States o EnergyFidelity D & D Bancorp Inc 0.00 696,698 10,100 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Synalloy Corp 0.00 696,011 30,460 Micro United States r Basic MaterialsConsolidated Water Co Ltd 0.00 694,093 50,115 Micro United States f UtilitiesFoundation Building Materials Inc 0.00 693,931 55,648 Micro United States p IndustrialsClipper Realty Inc 0.00 691,383 51,100 Micro United States u Real EstateBerry Petroleum Corp 0.00 687,180 39,000 Small United States o Energy................................................................................................................................................................................................................................................................................................Tiptree Inc 0.00 686,853 104,863 Micro United States y Financial ServicesMarine Products Corp 0.00 685,807 29,961 Small United States t Consumer CyclicalHarvard Bioscience Inc 0.00 680,080 129,539 Micro United States d HealthcareL.B. Foster Co A 0.00 679,157 33,049 Micro United States p IndustrialsAeglea BioTherapeutics Inc 0.00 677,556 70,800 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Oil-Dri Corp of America 0.00 676,535 17,545 Micro United States r Basic MaterialsTimberland Bancorp Inc 0.00 673,066 21,545 Micro United States y Financial ServicesPRGX Global Inc 0.00 672,519 77,301 Micro United States p IndustrialsIndependence Contract Drilling Inc 0.00 669,054 135,436 Micro United States o EnergyKirkland's Inc 0.00 668,705 66,274 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................SeaSpine Holdings Corp 0.00 667,680 42,910 Micro United States d HealthcareSafety, Income and Growth Inc 0.00 666,788 35,600 Micro United States u Real EstateNAPCO Security Technologies Inc 0.00 666,561 44,586 Micro United States p IndustrialsSB One Bancorp 0.00 665,280 26,400 Micro United States y Financial ServiceseGain Corp 0.00 664,775 82,071 Micro United States a Technology................................................................................................................................................................................................................................................................................................Universal Stainless & Alloy Products Inc 0.00 663,183 25,997 Micro United States r Basic MaterialsEntegra Financial Corp 0.00 661,095 24,900 Micro United States y Financial ServicesOlympic Steel Inc 0.00 660,661 31,656 Micro United States r Basic MaterialsThe Bank of Princeton 0.00 656,610 21,500 Micro United States y Financial ServicesInfrastructure and Energy Alternatives Inc 0.00 653,100 62,200 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Arlo Technologies Inc 0.00 652,950 45,000 Small United States a TechnologyAcacia Research Corp 0.00 652,125 203,789 Micro United States p IndustrialsFS Bancorp Inc 0.00 651,924 11,700 Micro United States y Financial ServicesOrrstown Financial Services Inc 0.00 650,430 27,329 Micro United States y Financial ServicesC&F Financial Corp 0.00 650,362 11,070 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Stratus Properties Inc 0.00 650,158 21,247 Micro United States u Real EstateEnzo Biochem Inc 0.00 649,588 157,667 Micro United States d HealthcareBankwell Financial Group Inc 0.00 646,894 20,628 Micro United States y Financial ServicesCarbon Black Inc 0.00 645,990 30,500 Small United States a TechnologyUnion Bankshares Inc 0.00 645,985 12,154 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Chimerix Inc 0.00 644,425 165,662 Micro United States d HealthcareKingstone Companies Inc 0.00 643,511 33,869 Micro United States y Financial ServicesPolarityTE Inc 0.00 641,263 33,574 Micro United States d HealthcareRiverview Bancorp Inc 0.00 640,918 72,502 Micro United States y Financial ServicesFirst Community Corp 0.00 636,460 26,300 Micro United States y Financial Services

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 43: Small/Mid-Cap Indexed Equity Fund

Page 43 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Northwest Pipe Co 0.00 635,140 32,159 Micro United States p IndustrialsPzena Investment Management Inc 0.00 628,495 65,880 Micro United States y Financial ServicesSanchez Energy Corp 0.00 628,146 273,107 Micro United States o EnergySilverBow Resources Inc 0.00 623,385 23,374 Micro United States o EnergyRyerson Holding Corp 0.00 623,229 55,153 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Quorum Health Corp 0.00 622,197 106,177 Micro United States d HealthcareTelaria Inc 0.00 621,939 164,100 Micro United States a TechnologyAssociated Capital Group Inc Shs -A 0.00 621,230 14,600 Small United States y Financial ServicesLeaf Group Ltd 0.00 613,200 61,320 Micro United States a TechnologyCatalyst Biosciences Inc 0.00 612,735 56,840 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Neuronetics Inc 0.00 612,346 19,100 Micro United States d HealthcareFirst Choice Bancorp 0.00 612,234 22,600 Micro United States y Financial ServicesION Geophysical Corp 0.00 612,172 39,368 Micro United States o EnergyLiquidity Service Inc 0.00 610,800 96,189 Micro United States t Consumer CyclicalGladstone Land Corp 0.00 610,077 49,439 Micro United States u Real Estate................................................................................................................................................................................................................................................................................................Information Services Group Inc 0.00 609,230 127,454 Micro United States p IndustrialsChromaDex Corp 0.00 609,180 142,000 Micro United States d HealthcareElevate Credit Inc 0.00 609,062 75,566 Micro United States y Financial ServicesBig 5 Sporting Goods Corp 0.00 606,946 119,009 Micro United States t Consumer CyclicalBCB Bancorp Inc 0.00 606,768 43,810 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................XOMA Corp 0.00 603,565 34,352 Micro United States d HealthcareHelius Medical Technologies Inc 0.00 603,064 61,600 Micro United States d HealthcareGeneral Finance Corp 0.00 602,910 37,800 Micro United States p IndustrialsCambium Learning Group Inc 0.00 602,620 50,897 Micro United States s Consumer DefensiveLCNB Corp 0.00 597,378 32,031 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Agenus Inc 0.00 594,447 277,779 Micro United States d HealthcareUSA Truck Inc 0.00 594,438 29,384 Micro United States p IndustrialsSuperior Group Of Companies Inc 0.00 594,337 31,248 Micro United States t Consumer CyclicalTurtle Beach Corp 0.00 591,899 29,684 Micro United States a TechnologyFirst Northwest Bancorp 0.00 591,730 38,424 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Idera Pharmaceuticals Inc 0.00 589,619 66,175 Micro United States d HealthcareNCS Multistage Holdings Inc 0.00 589,407 35,700 Small United States o EnergyThe Eastern Co 0.00 586,801 20,662 Micro United States p IndustrialsClearside Biomedical Inc 0.00 582,460 94,709 Micro United States d HealthcarenLight Inc 0.00 581,902 26,200 Small United States a Technology................................................................................................................................................................................................................................................................................................Overseas Shipholding Group Inc A 0.00 581,610 184,638 Micro United States p IndustrialsSeres Therapeutics Inc 0.00 580,954 76,542 Micro United States d HealthcareNI Holdings Inc 0.00 580,328 34,400 Micro United States y Financial ServicesCloud Peak Energy Inc 0.00 579,404 251,915 Micro United States r Basic MaterialsMalvern Bancorp Inc 0.00 577,722 24,122 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Durect Corp 0.00 575,490 523,173 Micro United States d HealthcareCarbo Ceramics Inc 0.00 571,314 78,802 Micro United States o EnergyVuzix Corporation 0.00 571,160 87,200 Micro United States a TechnologyBoston Omaha Corp 0.00 571,090 19,100 Micro United States p IndustrialsLuther Burbank Corp 0.00 570,112 52,400 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Willis Lease Finance Corp 0.00 568,242 16,466 Micro United States p Industrials1st Constitution Bancorp 0.00 567,180 27,400 Micro United States y Financial ServicesTetraphase Pharmaceuticals Inc 0.00 566,694 205,324 Micro United States d HealthcareUnited States Lime & Minerals Inc 0.00 566,624 7,177 Micro United States r Basic MaterialsManitex International Inc 0.00 563,471 53,511 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Crawford & Co Class B 0.00 563,293 61,161 Micro United States y Financial ServicesEndologix Inc 0.00 561,481 293,969 Micro United States d HealthcareGaia Inc Class A 0.00 561,392 36,454 Micro United States t Consumer CyclicalCalithera Biosciences Inc 0.00 560,700 106,800 Micro United States d HealthcareNatural Health Trends Corp 0.00 557,509 23,948 Micro United States s Consumer Defensive

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 44: Small/Mid-Cap Indexed Equity Fund

Page 44 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Ardelyx Inc 0.00 555,834 127,778 Micro United States d HealthcareFirst Financial Northwest Inc 0.00 552,494 33,343 Micro United States y Financial ServicesMoneyGram International Inc 0.00 550,124 102,827 Micro United States y Financial ServicesMVB Financial Corp 0.00 549,610 30,500 Micro United States y Financial ServicesP.A.M. Transportation Services Inc 0.00 548,969 8,434 Micro United States p Industrials................................................................................................................................................................................................................................................................................................Telenav Inc 0.00 546,243 108,167 Micro United States a TechnologyFrancescas Holdings Corp 0.00 545,478 147,029 Micro United States t Consumer CyclicalSecureWorks Corp A 0.00 545,112 37,209 Small United States a TechnologyCue Biopharma Inc Ordinary Shares 0.00 544,810 60,200 Micro United States d HealthcareEsquire Financial Holdings Inc 0.00 541,632 21,700 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Key Energy Services Inc 0.00 540,231 47,223 Micro United States o EnergyCB Financial Services Inc 0.00 539,875 17,500 Micro United States y Financial ServicesNortheast Bancorp 0.00 539,093 24,843 Micro United States y Financial ServicesRecro Pharma Inc 0.00 538,938 75,800 Micro United States d HealthcareJ. Alexander's Holdings Inc A 0.00 538,106 45,219 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Genesis Healthcare Inc 0.00 534,055 395,596 Micro United States d HealthcareMiragen Therapeutics Inc 0.00 532,678 95,462 Micro United States d HealthcareKopin Corp 0.00 527,151 217,831 Micro United States a TechnologyParke Bancorp Inc 0.00 525,936 23,427 Micro United States y Financial ServicesBabcock & Wilcox Enterprises Inc 0.00 523,169 507,931 Micro United States a Technology................................................................................................................................................................................................................................................................................................OP Bancorp 0.00 522,000 45,000 Micro United States y Financial ServicesCardlytics Inc 0.00 520,832 20,800 Micro United States a TechnologyFonar Corp 0.00 520,709 20,912 Micro United States d HealthcareGulfMark Offshore Inc 0.00 518,470 13,900 Micro United States o EnergyPrudential Bancorp Inc 0.00 514,107 29,700 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................EnviroStar Inc 0.00 513,283 13,178 Micro United States t Consumer CyclicalNoodles & Co A 0.00 512,725 42,374 Micro United States t Consumer CyclicalKala Pharmaceuticals Inc 0.00 512,253 51,900 Micro United States d HealthcareSelect Bancorp Inc 0.00 511,773 41,272 Micro United States y Financial ServicesCrinetics Pharmaceuticals Inc 0.00 509,970 17,800 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Spring Bank Pharmaceuticals Inc 0.00 508,510 42,200 Micro United States d HealthcarePacific Mercantile Bancorp 0.00 507,509 54,279 Micro United States y Financial ServicesOak Valley Bancorp 0.00 506,970 25,800 Micro United States y Financial ServicesFlotek Industries Inc 0.00 506,213 210,922 Micro United States o EnergyESSA Bancorp Inc 0.00 504,954 31,055 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................PDL Community Bancorp 0.00 504,674 33,400 Micro United States y Financial ServicesLannett Co Inc 0.00 503,875 106,079 Micro United States d HealthcareThe Community Financial Corp 0.00 501,417 14,999 Micro United States y Financial ServicesVivint Solar Inc 0.00 501,119 96,369 Micro United States a TechnologyIteris Inc 0.00 498,990 92,749 Micro United States a Technology................................................................................................................................................................................................................................................................................................NantKwest Inc 0.00 498,512 134,733 Micro United States d HealthcareMid Penn Bancorp Inc 0.00 498,465 17,100 Micro United States y Financial ServicesPier 1 Imports Inc 0.00 497,643 331,762 Micro United States t Consumer CyclicalForterra Inc 0.00 493,106 66,100 Micro United States r Basic MaterialsBluegreen Vacations Corp 0.00 491,975 27,500 Small United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Ohio Valley Banc Corporation 0.00 491,476 13,410 Micro United States y Financial ServicesHallmark Financial Services Inc 0.00 489,214 44,474 Micro United States y Financial ServicesOdonate Therapeutics Inc 0.00 489,132 25,200 Micro United States d HealthcareAchaogen Inc 0.00 487,578 122,200 Micro United States d HealthcareiRadimed Corp 0.00 486,665 13,100 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Clearfield Inc 0.00 486,056 36,138 Micro United States a TechnologySafe Bulkers Inc 0.00 485,441 168,556 Micro Marshall Islands p IndustrialsDawson Geophysical Co 0.00 485,395 78,416 Micro United States o EnergyCapStar Financial Holdings Inc 0.00 479,040 28,685 Micro United States y Financial ServicesShiloh Industries Inc 0.00 478,313 43,483 Micro United States p Industrials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 45: Small/Mid-Cap Indexed Equity Fund

Page 45 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

First United Corp 0.00 476,223 25,331 Micro United States y Financial ServicesSparton Corp 0.00 475,526 32,954 Micro United States a TechnologyNeos Therapeutics Inc 0.00 473,806 97,692 Micro United States d HealthcareChemung Financial Corp 0.00 473,307 11,155 Micro United States y Financial ServicesTown Sports International Holdings Inc 0.00 471,667 54,528 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Pulse Biosciences Inc 0.00 468,270 33,000 Micro United States d HealthcareDonegal Group Inc Class A 0.00 466,770 32,848 Micro United States y Financial ServicesAsure Software Inc 0.00 464,881 37,430 Micro United States a TechnologyAerohive Networks Inc 0.00 462,445 112,244 Micro United States a TechnologyMaxwell Technologies Inc 0.00 461,190 132,146 Micro United States a Technology................................................................................................................................................................................................................................................................................................PHI Inc Non-Voting Shares 0.00 460,938 49,351 Micro United States p Industrialsi3 Verticals Inc 0.00 459,600 20,000 Micro United States a TechnologyMersana Therapeutics Inc 0.00 459,000 45,900 Micro United States d HealthcareInnovate Biopharmaceuticals Inc 0.00 458,293 67,100 Micro United States d HealthcareKiniksa Pharmaceuticals Ltd Class A 0.00 456,450 17,900 Small United States d Healthcare................................................................................................................................................................................................................................................................................................NACCO Industries Inc A 0.00 451,590 13,789 Micro United States r Basic MaterialsFirst Savings Financial Group Inc 0.00 450,648 6,600 Micro United States y Financial ServicesDomo Inc 0.00 448,305 20,900 Micro United States a TechnologySaga Communications Inc 0.00 446,380 12,348 Micro United States t Consumer CyclicalGoodrich Petroleum Corp 0.00 440,856 31,400 Micro United States o Energy................................................................................................................................................................................................................................................................................................Celcuity Inc 0.00 440,028 15,300 Micro United States d HealthcareSmart & Final Stores Inc 0.00 439,088 77,033 Micro United States s Consumer DefensiveUnited Security Bancshares 0.00 437,862 39,447 Micro United States y Financial ServicesFirst Guaranty Bancshares Inc 0.00 437,192 17,018 Micro United States y Financial ServicesADMA Biologics Inc 0.00 430,974 69,400 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Immune Design Corp 0.00 430,912 124,902 Micro United States d HealthcareAllena Pharmaceuticals Inc 0.00 427,989 39,850 Micro United States d HealthcarePark City Group Inc 0.00 426,008 42,179 Micro United States a TechnologyMidstates Petroleum Co Inc 0.00 423,439 47,524 Micro United States o EnergyTyme Technologies Inc 0.00 423,394 152,300 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................PFSweb Inc 0.00 414,193 55,972 Micro United States p IndustrialsNew York & Co Inc 0.00 413,888 107,225 Micro United States t Consumer CyclicalCTI BioPharma Corp 0.00 411,495 190,507 Micro United States d HealthcareOrganovo Holdings Inc 0.00 409,464 356,056 Micro United States d HealthcareSyndax Pharmaceuticals Inc 0.00 407,983 50,493 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Calyxt Inc 0.00 407,892 26,712 Micro United States s Consumer DefensiveGenco Shipping & Trading Ltd 0.00 407,470 29,105 Micro United States p IndustrialsEscalade Inc 0.00 407,165 31,686 Micro United States t Consumer CyclicalPfenex Inc 0.00 405,734 79,400 Micro United States d HealthcareMiddlefield Banc Corp 0.00 405,060 8,600 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................The New Home Co Inc 0.00 401,735 49,843 Micro United States t Consumer CyclicalHallador Energy Co 0.00 401,700 64,582 Micro United States r Basic MaterialsAmalgamated Bank Ordinary Shares Class A 0.00 401,232 20,800 Micro United States y Financial ServicesAdesto Technologies Corp 0.00 396,865 66,700 Micro United States a TechnologyCounty Bancorp Inc 0.00 394,647 15,723 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Siebert Financial Corp 0.00 394,085 26,900 Micro United States y Financial ServicesLifetime Brands Inc 0.00 393,970 36,144 Micro United States t Consumer CyclicalQuanterix Corp 0.00 387,702 18,100 Micro United States d HealthcareSilvercrest Asset Management Group Inc Class A 0.00 380,723 27,489 Micro United States y Financial ServicesJ.Jill Inc 0.00 380,688 61,600 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Replimune Group Inc 0.00 378,350 23,500 Micro United States d HealthcareCorvus Pharmaceuticals Inc 0.00 377,966 44,052 Micro United States d HealthcareBRT Apartments Corp 0.00 372,156 30,910 Micro United States u Real EstateMustang Bio Inc 0.00 367,710 61,800 Micro United States d HealthcareGencor Industries Inc 0.00 367,429 30,492 Micro United States p Industrials

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 46: Small/Mid-Cap Indexed Equity Fund

Page 46 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Tobira Therapeutics In Common Stock 0.00 365,435 31,048 . . .CohBar Inc 0.00 364,626 84,600 Micro United States d HealthcareresTORbio Inc 0.00 363,360 24,000 Micro United States d HealthcareMarrone Bio Innovations Inc 0.00 361,974 197,800 Micro United States r Basic MaterialsSpark Energy Inc A 0.00 360,797 43,733 Micro United States f Utilities................................................................................................................................................................................................................................................................................................Biglari Holdings Inc Ordinary Shares - Class A 0.00 360,502 391 Small United States t Consumer CyclicalEvolus Inc 0.00 355,716 19,104 Micro United States d HealthcareEclipse Resources Corp 0.00 354,756 298,114 Micro United States o EnergyProfire Energy Inc 0.00 354,090 111,000 Micro United States o EnergyFennec Pharmaceuticals Inc 0.00 337,020 41,100 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Jounce Therapeutics Inc 0.00 336,869 51,826 Micro United States d HealthcareAuburn National Bancorp Inc 0.00 334,074 8,718 Micro United States y Financial ServicesCelsius Holdings Inc 0.00 333,684 82,800 Micro United States s Consumer DefensiveRemark Holdings Inc 0.00 327,294 102,600 Micro United States a TechnologyACM Research Inc Class A 0.00 325,458 29,400 Micro United States a Technology................................................................................................................................................................................................................................................................................................Global Water Resources Inc 0.00 323,366 30,535 Micro United States f UtilitiesRamaco Resources Inc 0.00 320,892 43,015 Micro United States r Basic MaterialsEP Energy Corp A 0.00 318,874 136,271 Micro United States o EnergyFuelCell Energy Inc 0.00 318,576 297,735 Micro United States f UtilitiesAlico Inc 0.00 317,990 9,408 Micro United States s Consumer Defensive................................................................................................................................................................................................................................................................................................Smart Sand Inc 0.00 314,851 76,606 Micro United States r Basic MaterialsAdams Resources & Energy Inc 0.00 313,440 7,382 Micro United States o EnergyDASAN Zhone Solutions Inc 0.00 308,306 21,727 Micro United States a TechnologySurface Oncology Inc 0.00 305,226 27,900 Micro United States d HealthcareApproach Resources Inc 0.00 304,096 136,366 Micro United States o Energy................................................................................................................................................................................................................................................................................................Unity Biotechnology Inc 0.00 298,107 18,300 Micro United States d HealthcarePeoples Bancorp of North Carolina Inc 0.00 296,937 10,296 Micro United States y Financial ServicesEastman Kodak Co 0.00 295,582 95,349 Micro United States a TechnologyAAC Holdings Inc 0.00 290,718 38,102 Micro United States d HealthcareGreene County Bancorp Inc 0.00 288,258 8,980 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Natures Sunshine Products Inc 0.00 286,449 32,737 Micro United States s Consumer DefensiveCastle Brands Inc 0.00 285,966 267,258 Micro United States s Consumer DefensiveArcus Biosciences Inc 0.00 284,376 20,400 Micro United States d HealthcareIsramco Inc 0.00 273,636 2,242 Micro United States o EnergyImpac Mortgage Holdings Inc 0.00 270,719 36,144 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Xeris Pharmaceuticals Inc 0.00 268,974 15,300 Micro United States d HealthcareMelinta Therapeutics Inc 0.00 268,876 68,070 Micro United States d HealthcareScholar Rock Holding Corp 0.00 267,800 10,400 Micro United States d HealthcareZomedica Pharmaceuticals Corp 0.00 267,597 143,100 Micro Canada d HealthcareOvid Therapeutics Inc 0.00 253,449 44,700 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Veritone Inc 0.00 251,363 24,100 Micro United States a TechnologyNewLink Genetics Corp 0.00 248,629 104,029 Micro United States d HealthcareNymox Pharmaceutical Corp 0.00 242,989 98,776 Micro United States d HealthcareMenlo Therapeutics Inc 0.00 240,340 24,400 Micro United States d HealthcareForty Seven Inc 0.00 240,212 16,100 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Evelo Biosciences Inc 0.00 236,292 19,400 Micro United States d HealthcareMaui Land & Pineapple Co Inc 0.00 234,816 18,345 Micro United States u Real EstateZion Oil & Gas Inc 0.00 234,557 183,248 Micro United States o EnergyBridgewater Bancshares Inc 0.00 233,058 17,900 Micro United States y Financial ServicesFluent Inc 0.00 227,276 105,710 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................Proteostasis Therapeutics Inc 0.00 225,335 93,500 Micro United States d HealthcareRimini Street Inc 0.00 224,005 35,500 Micro United States a TechnologyAshford Inc 0.00 218,278 2,877 Micro United States y Financial ServicesValhi Inc 0.00 214,418 94,043 Small United States r Basic MaterialsSchulman A Inc Cvr Com Common Stock 0.00 213,222 106,611 . . .

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

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Page 47 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Stock Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $ Shares Owned Market Cap Country Sector

Travelzoo 0.00 212,933 17,969 Micro United States a TechnologyNL Industries Inc 0.00 201,630 33,605 Micro United States p IndustrialsFusion Connect Inc 0.00 194,549 75,700 Micro United States i Communication ServicesTranscontinental Realty Investors Inc 0.00 191,499 6,005 Micro United States u Real EstateSpero Therapeutics Inc 0.00 186,027 17,700 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Fortress Biotech Inc 0.00 183,050 114,406 Micro United States d HealthcareTranslate Bio Inc 0.00 179,000 17,900 Micro United States d HealthcareMolecular Templates Inc 0.00 178,538 33,124 Micro United States d HealthcareSpirit of Texas Bancshares Inc 0.00 164,084 7,600 Micro United States y Financial ServicesQuintana Energy Services Inc 0.00 163,682 22,300 Micro United States o Energy................................................................................................................................................................................................................................................................................................Verrica Pharmaceuticals Inc 0.00 157,625 9,700 Micro United States d HealthcarescPharmaceuticals Inc 0.00 157,316 26,800 Micro United States d HealthcareNextDecade Corp 0.00 156,505 27,700 Micro United States o EnergyThe Lovesac Co 0.00 147,382 5,900 Micro United States t Consumer CyclicalCoastal Financial Corp 0.00 145,758 8,574 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Empire Resorts Inc 0.00 144,010 15,485 Micro United States t Consumer CyclicalLevel One Bancorp Inc 0.00 141,780 5,100 Micro United States y Financial ServicesAmpio Pharmaceuticals Inc 0.00 138,601 272,837 Micro United States d HealthcareMesa Air Group Inc 0.00 137,214 9,900 Micro United States p IndustrialsUnum Therapeutics Inc 0.00 132,870 12,900 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................NantHealth Inc 0.00 131,844 83,977 Micro United States a TechnologySears Holdings Corp 0.00 131,211 135,577 Micro United States t Consumer CyclicalBeasley Broadcast Group Inc Class A 0.00 117,162 16,980 Micro United States t Consumer CyclicalAmerican Realty Investors Inc 0.00 112,670 6,659 Micro United States u Real EstateLiquidia Technologies Inc 0.00 104,234 3,800 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Kezar Life Sciences Inc 0.00 102,768 4,800 Micro United States d HealthcareValue Line Inc 0.00 99,401 3,992 Micro United States t Consumer CyclicalEidos Therapeutics Inc 0.00 95,808 9,600 Micro United States d HealthcareElectrocore 0.00 93,800 6,700 . United States .Purple Innovation Inc 0.00 91,640 15,800 Micro United States t Consumer Cyclical................................................................................................................................................................................................................................................................................................LiveXLive Media Inc 0.00 89,376 22,800 Micro United States t Consumer CyclicalAquestive Therapeutics Inc 0.00 73,542 4,200 Micro United States d HealthcareRosehill Resources Inc A 0.00 59,780 9,800 Micro United States o EnergyNuverra Environmental Solutions Inc 0.00 51,152 4,600 Micro United States p IndustrialsOconee Federal Financial Corp 0.00 45,781 1,700 Micro United States y Financial Services................................................................................................................................................................................................................................................................................................Majesco 0.00 44,168 5,850 Micro United States a TechnologyGTx Inc 0.00 39,952 25,447 Micro United States d HealthcareMedia Gen Inc Cvr Common Stock 0.00 32,523 325,227 . . .Vital Therapies Inc 0.00 31,175 113,200 Micro United States d HealthcareArsanis Inc 0.00 28,350 17,500 Micro United States d Healthcare................................................................................................................................................................................................................................................................................................Newsstar Financial Inccvr Common Stock 0.00 27,534 106,085 . . .Compx International Inc 0.00 20,658 1,519 Micro United States p IndustrialsGriffin Industrial Realty Inc 0.00 20,397 523 Micro United States u Real EstateSigma Designs Inc 0.00 425 2,931 Micro United States a Technology

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 48: Small/Mid-Cap Indexed Equity Fund

Page 48 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Cash Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $

State Street Corporation Short Term Investment Fund 1.50 313,593,343Usd 0.09 17,971,912

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®

Page 49: Small/Mid-Cap Indexed Equity Fund

Page 49 of 49

Small/Mid-Cap Indexed Equity Fund.......................................................................................................................................................................................................................................................................................................................................

Total Stocks Total Bonds Total Cash2519 0 2

Other Portfolio Analysis as of 09-30-18Security Name Net Assets % Market Value $

S+p Mid 400 Emini Dec18 Xcme 20181221 0.85 176,394,920E-Mini Russ 2000 Dec18 Xcme 20181221 0.81 168,889,440

©2018 Morningstar, Inc., Morningstar Investment Profiles™ 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) maynot be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use ofinformation. Past performance is no guarantee of future performance. Visit our investment website at www.morningstar.com ß

®