Small Cap Value - The Timothy Plan

AS OF MARCH 31, 2022

Small Cap Value

A C T I V E L YVMOLAANTAILGITEYDWBERIGI H| TAE:DT P L N X C : T S V C X I : T P V I X

GROWTH OF $10,000

$27,856

SECTOR WEIGHTING

$35,000 $30,000 $25,000 $20,000 $15,000 $10,000

$5,000 $0

3-12 3-13 3-14 3-15 3-16 3-17 3-18 3-19 3-20 3-21 3-22

Inception

Date

Without sales charges

Class A1

03/24/94

Class C1

02/02/04

Class I2

08/01/13

Russell 2000 Index

With sales charges Class A1 Class C1

Average Annual Total Returns

YTD 1-year 3-year 5-year 10-year

SI

-8.16% -8.34% -8.12% -7.53%

0.62% -0.15% 0.88% -5.79%

10.27% 9.45% 10.55% 11.74%

8.01% 7.21% 8.29% 9.74%

10.79% 9.96% N/A 11.04%

7.81% 7.24% 8.88%

-13.20% -9.26%

-4.89% -1.02%

8.20% 9.45%

6.80% 7.21%

10.16% 9.96%

7.59% 7.24%

PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RESULTS. Investment return and principal value of an investment will fluctuate; therefore, an investor's shares, when redeemed, may be worth more or less than their orginal cost. Current performance may be higher or lower than the performance data quoted. Visit for the most recent month-end performance.

The Russell 2000 Index tracks the performance of 2,000 of the smallest U.S. companies, based on market capitalization. The Index assumes reinvestment of all dividends and distributions and does not reflect any asset-based charges for investment management or other expenses. It is not possible to invest directly in an index.

The illustration is based on a hypothetical $10,000 investment in A Class shares. All results shown assume reinvestment of dividends and capital gains. The maximum sales load on Class A shares is 5.5%; the maximum CDSC on Class C shares is 1%; Class I shares are no load shares which are available exclusively through registered investment advisors or for institutional accounts.

Moral Screening

Timothy Plan is committed to maintaining

BIBLICALLY RESPONSIBLE PORTFOLIOS.

PRO-LIFE, PURITY, FAMILY, BIBLICAL LIFESTYLE,

LIBERTY, SOBRIETY, LONGEVITY, STEWARDSHIP

CYCLICAL

7%

Basic Materials

10%

Consumer Cyclical

18%

Financial Services

7%

Real Estate

SENSITIVE

2%

Communication Services

6%

Energy

14%

Industrials

7%

Technology

DEFENSIVE

5%

Consumer Defensive

6%

Healthcare

4%

Utilities

MISCELLANEOUS

2%

Cash Equivalents

0%

Fixed

12%

ETFs

TOP TEN EQUITY HOLDINGS

Hostess Brands Inc. Comfort Systems USA, Inc. Jack in the Box Inc. Moog Inc. Monro Inc. Plymouth Industrial REIT, Inc. Avista Corp. Triumph Bancorp Inc. Viavi Solutions Inc. Radius Global Infrastructure Inc.

1.9% 1.9% 1.9% 1.9% 1.9% 1.9% 1.8% 1.8% 1.8% 1.8%

Portfolio holdings are subject to change at any time. References to specific securities should not be construed as recommendations by the Fund or Timothy Partners, Ltd.

AS OF MARCH 31, 2022

Small Cap Value

A C T I V E L Y VMOALNATAIGLIETDY WB REIIG|HATE: DT P L N X C : T S V C X I : T P V I X

Fund Sub-Advisor

Westwood Management Corp. is a wholly owned subsidiary of Westwood Holdings Group, Inc., a publicly traded company (NYSE:WHG). Westwood is a Registered Investment Advisory Firm. Westwood utilizes a team of investment professionals, who are responsible for the day- to-day recommendations regarding the investment of the portfolio.

Objective

The investment objective of this Fund is to provide you with long-term growth of capital, with a secondary objective of current income.

Strategy

? The Fund seeks to achieve its investment objective by primarily investing at least 80% of the Fund's total assets in U.S. stocks with market capitalizations that fall within the range of companies included in the Russell 2000 Index (the "Index").

? In determining whether to invest in a particular company, the Fund's Investment Manager focuses on a number of different attributes of the company, including the company's market expertise, balance sheet, improving return on equity, price to earnings ratios, industry position and strength, management, and a number of other factors.

? The Fund may invest in equity securities of foreign issuers in the form of American Depositary Receipts (ADRs).

PORTFOLIO MANAGEMENT

Firm:

Westwood Management Corp.

Experience:

Since 1982

Assets (as of prior quarter):

$14.5 bil

Inception with Timothy Plan:

01/01/06

[ETF SLEEVE] Firm:

Timothy Partners, Ltd.

MUTUAL FUND DETAILS

Investment Style: Total Net Assets:

Small Cap Value $163.4 mil

EXPENSES (%)

To reduce shareholder expenses, a voluntary fee waiver has been

applied to a portion of the Advisor's management fee.

Gross

A

C

1.46% 2.21%

I 2 1.21%

Fee Waiver 4

0.12% 0.12%

0.12%

Net

1.34% 2.09%

1.09%

PORTFOLIO CHARACTERISTICS 3

Price/Earnings Ratio: Average Mkt Cap. (wtd): Price-to-Book: Est. Forward Growth: Benchmark Russell 2000 Index

Fund 11.7 x $2.5 bil

1.9 24.6%

Benchmark 20.6 x

$3.4 bil 2.2

15.0%

PLEASE SEE THE FUND PROSPECTUS FOR A COMPLETE EXPLANATION OF THE RISKS INVOLVED WITH EACH FUND. Risk chart is for illustrative purposes only.

CALENDAR YEAR RETURNS

2021 2020 2019 2018 2017 2016 2015 2014 2013 2012

A 28.32%

2.00% 28.25% -15.62% 13.04% 24.04% -6.56%

4.94% 49.53% 17.09%

I 2 28.66%

2.26% 28.56% -15.36% 13.29% 24.04% -6.37%

5.24% N/A N/A

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain performance information current to the most recent month-end, please call the Fund at 800.846.7526.

CAREFULLY CONSIDER THE INVESTMENT OBJECTIVES, RISKS, CHARGES, AND EXPENSES BEFORE INVESTING. A PROSPECTUS IS AVAILABLE FROM THE FUND BY CALLING 800.846.7526, VISITING MF., OR YOUR FINANCIAL PROFESSIONAL THAT CONTAINS THIS AND OTHER MORE COMPLETE, IMPORTANT INFORMATION. PLEASE READ IT CAREFULLY BEFORE INVESTING OR SENDING MONEY.

1 The returns shown for periods prior to the share class inception date (including returns since inception, which are since fund inception) include the returns of the fund's oldest share class. These returns are adjusted to reflect any higher class-related operating expenses of the newer share classes, as applicable. For more information please visit: investor/ investment-products/mutual-funds/appended-performance.

2 CLASS I SHARES can only be purchased through a Registered Investment Advsior or by an Institution for its own account. The Class I Share prospectus is available from the fund. 3 Sources include Sub-Advisor's estimate. 4 Numbers reflect the expense ratios disclosed in the Trust's most recent prospectus and do not include deemed expenses due to Acquired Funds Fees and Expenses. Voluntary Advisor Fee Waivers

vary and are also reflected in the most recent Audited Annual and Unaudited Semi-Annual Reports. The voluntary fee waiver may be revised or terminated at any time without notice.

AS OF MARCH 31, 2022

Large / Mid Cap Value

A C T I V E L YVMOLAANTAILGITEYDWBERIGI H| TAE:DT L V A X C : T L V C X I : T M V I X

GROWTH OF $10,000

$30,082

SECTOR WEIGHTING

$35,000 $30,000 $25,000 $20,000 $15,000 $10,000

$5,000 $0

3-12 3-13 3-14 3-15 3-16 3-17 3-18 3-19 3-20 3-21 3-22

Inception

Date

Without sales charges

Class A1 Class C1 Class I2

S&P 500 Index

07/14/99 02/02/04 08/01/13

With sales charges Class A1 Class C1

Average Annual Total Returns

YTD 1-year 3-year 5-year 10-year

SI

-3.85% -3.99% -3.77% -4.60%

15.08% 14.23% 15.39% 15.65%

15.79% 14.92% 16.07% 18.92%

12.33% 11.49% 12.61% 15.99%

11.64% 10.81%

N/A 14.64%

8.38% 8.83% 10.97%

-9.13% -4.95%

8.75% 13.23%

13.63% 14.92%

11.07% 11.49%

11.01% 10.81%

8.11% 8.83%

PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RESULTS. Investment return and principal value of an investment will fluctuate; therefore, an investor's shares, when redeemed, may be worth more or less than their orginal cost. Current performance may be higher or lower than the performance data quoted. Visit for the most recent month-end performance.

The S&P 500 Index is a widely recognized, unmanaged index of common stock prices. The Index assumes reinvestment of all dividends and distributions and does not reflect any asset-based charges for investment management or other expenses. It is not possible to invest directly in an index.

The illustration is based on a hypothetical $10,000 investment in A Class shares. All results shown assume reinvestment of dividends and capital gains. The maximum sales load on Class A shares is 5.5%; the maximum CDSC on Class C shares is 1%; Class I shares are no load shares which are available exclusively through registered investment advisors or for institutional accounts.

Moral Screening

Timothy Plan is committed to maintaining

BIBLICALLY RESPONSIBLE PORTFOLIOS.

PRO-LIFE, PURITY, FAMILY, BIBLICAL LIFESTYLE,

LIBERTY, SOBRIETY, LONGEVITY, STEWARDSHIP

CYCLICAL

4%

Basic Materials

4%

Consumer Cyclical

7%

Financial Services

5%

Real Estate

SENSITIVE

1%

Communication Services

6%

Energy

13%

Industrials

20%

Technology

DEFENSIVE

6%

Consumer Defensive

5%

Healthcare

4%

Utilities

MISCELLANEOUS

2%

Cash Equivalents

0%

Fixed

23%

ETFs

TOP TEN EQUITY HOLDINGS

General Dynamics Corp. McCormick & Co., Inc. Broadcom Inc. ProLogis Inc. Union Pacific Corp, WEC Energy Group, Inc. Tractor Supply Co. Crown Castle International Corp. CACI International Inc. NVIDIA Corp.

2.4% 2.3% 2.3% 2.2% 2.2% 2.2% 2.1% 2.1% 2.1% 2.1%

Portfolio holdings are subject to change at any time. References to specific securities should not be construed as recommendations by the Fund or Timothy Partners, Ltd.

AS OF MARCH 31, 2022

Large / Mid Cap Value

A C T I V E L Y VMOALNATAIGLIETDY WB REIIG|HATE: DT L V A X C : T L V C X I : T M V I X

Fund Sub-Advisor

Westwood Management Corp. is a wholly owned subsidiary of Westwood Holdings Group, Inc., a publicly traded company (NYSE:WHG). Westwood is a Registered Investment Advisory Firm. Westwood utilizes a team of investment professionals, who are responsible for the day- to-day recommendations regarding the investment of the portfolio.

Objective

The investment objective of this Fund is to provide you with long-term growth of capital, with a secondary objective of current income.

Strategy

? In determining whether to invest in a particular company, the Fund's Investment Manager focuses on a number of different attributes of the company, including the company's market expertise, balance sheet, improving return on equity, price to earnings ratios, industry position and strength, management, and a number of other factors.

PORTFOLIO MANAGEMENT

Firm:

Westwood Management Corp.

Experience:

Since 1982

Assets (as of prior quarter):

$14.5 bil

Inception with Timothy Plan:

01/01/06

[ETF SLEEVE] Firm:

Timothy Partners, Ltd.

MUTUAL FUND DETAILS

Investment Style: Total Net Assets:

Large/Mid Cap Value $282.1 mil

EXPENSES (%)

To reduce shareholder expenses, a voluntary fee waiver has been

applied to a portion of the Advisor's management fee.

Gross

A

C

1.45% 2.20%

I 2 1.20%

Fee Waiver 4

0.15% 0.15%

0.15%

Net

1.30% 2.05%

1.05%

PORTFOLIO CHARACTERISTICS 3

Price/Earnings Ratio: Average Mkt Cap. (wtd): Price-to-Book: Est. Forward Growth: Benchmark S&P 500 Index

Fund 22.6 x $75.3 bil

4. x 18.4%

Benchmark 19.6 x

$647.0 bil 4.5 x

10.3%

PLEASE SEE THE FUND PROSPECTUS FOR A COMPLETE EXPLANATION OF THE RISKS INVOLVED WITH EACH FUND. Risk chart is for illustrative purposes only.

CALENDAR YEAR RETURNS

2021 2020 2019 2018 2017 2016 2015 2014 2013 2012

A 26.90% 13.07% 26.87% -8.90% 17.51%

8.52% -2.08% 11.06% 31.90% 13.19%

I 2 27.23% 13.32% 27.14% -8.66% 17.82%

8.52% -1.81% 11.29%

N/A N/A

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain performance information current to the most recent month-end, please call the Fund at 800.846.7526.

CAREFULLY CONSIDER THE INVESTMENT OBJECTIVES, RISKS, CHARGES, AND EXPENSES BEFORE INVESTING. A PROSPECTUS IS AVAILABLE FROM THE FUND BY CALLING 800.846.7526, VISITING MF., OR YOUR FINANCIAL PROFESSIONAL THAT CONTAINS THIS AND OTHER MORE COMPLETE, IMPORTANT INFORMATION. PLEASE READ IT CAREFULLY BEFORE INVESTING OR SENDING MONEY.

1 The returns shown for periods prior to the share class inception date (including returns since inception, which are since fund inception) include the returns of the fund's oldest share class. These returns are adjusted to reflect any higher class-related operating expenses of the newer share classes, as applicable. For more information please visit: investor/ investment-products/mutual-funds/appended-performance.

2 CLASS I SHARES can only be purchased through a Registered Investment Advsior or by an Institution for its own account. The Class I Share prospectus is available from the fund. 3 Sources include Sub-Advisor's estimate. 4 Numbers reflect the expense ratios disclosed in the Trust's most recent prospectus and do not include deemed expenses due to Acquired Funds Fees and Expenses. Voluntary Advisor Fee Waivers

vary and are also reflected in the most recent Audited Annual and Unaudited Semi-Annual Reports. The voluntary fee waiver may be revised or terminated at any time without notice.

AS OF MARCH 31, 2022

Large / Mid Cap Growth

A C T I V E L YVMOLAANTAILGITEYDWBERIGI H| TAE:DT L G A X C : T L G C X I : T P L I X

GROWTH OF $10,000

$29,391

SECTOR WEIGHTING

$35,000 $30,000 $25,000 $20,000 $15,000 $10,000

$5,000 $0

3-12 3-13 3-14 3-15 3-16 3-17 3-18 3-19 3-20 3-21 3-22

Inception

Date

Without sales charges

Class A1

10/05/00

Class C1

02/02/04

Class I2

08/01/13

Russell 1000 Growth Index

With sales charges Class A1 Class C1

Average Annual Total Returns

YTD 1-year 3-year 5-year 10-year

SI

-9.51% -9.73% -9.47% -9.04%

12.71% 11.78% 13.02% 14.98%

17.52% 16.63% 17.80% 23.60%

12.85% 11.98% 13.11% 20.88%

11.38% 10.53%

N/A 17.04%

4.38% 7.01% 11.17%

-14.50% 6.54% -10.64% 10.78%

15.31% 16.63%

11.58% 11.98%

10.75% 10.53%

4.11% 7.01%

PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RESULTS. Investment return and principal value of an investment will fluctuate; therefore, an investor's shares, when redeemed, may be worth more or less than their orginal cost. Current performance may be higher or lower than the performance data quoted. Visit for the most recent month-end performance.

The Russell 1000 Growth Index is a widely recognized, unmanaged index of 1000 large- capitalization companies in the U.S. The Index assumes reinvestment of all dividends and distributions and does not reflect any asset-based charges for investment management or other expenses. It is not possible to invest directly in an index.

The illustration is based on a hypothetical $10,000 investment in A Class shares. All results shown assume reinvestment of dividends and capital gains. The maximum sales load on Class A shares is 5.5%; the maximum CDSC on Class C shares is 1%; Class I shares are no load shares which are available exclusively through registered investment advisors or for institutional accounts.

Moral Screening

Timothy Plan is committed to maintaining

BIBLICALLY RESPONSIBLE PORTFOLIOS.

PRO-LIFE, PURITY, FAMILY, BIBLICAL LIFESTYLE,

LIBERTY, SOBRIETY, LONGEVITY, STEWARDSHIP

CYCLICAL

3%

Basic Materials

8%

Consumer Cyclical

7%

Financial Services

0%

Real Estate

SENSITIVE

1%

Communication Services

1%

Energy

9%

Industrials

30%

Technology

DEFENSIVE

5%

Consumer Defensive

12%

Healthcare

1%

Utilities

MISCELLANEOUS

5%

Cash Equivalents

0%

Fixed

18%

ETFs

TOP TEN EQUITY HOLDINGS

NVIDIA Corp. Advanced Micro Devices, Inc. CDW Corp. Costco Wholesale Corp. Broadcom Inc. Horizon Therapeutics PLC Palo Alto Networks, Inc. Synopsys, Inc. Rapid7 Inc. Arthur J. Gallagher & Co.

3.2% 2.7% 2.6% 2.6% 2.4% 2.4% 2.3% 2.3% 2.1% 2.0%

Portfolio holdings are subject to change at any time. References to specific securities should not be construed as recommendations by the Fund or Timothy Partners, Ltd.

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