New Covenant Funds (NCGFX)
General Fund Information
New Covenant Funds
200 East Twelfth Street Suite C
Jeffersonville IN 47130
(800) 858-6127
Category:Domestic Equity Funds
Assets: ($ millions)$428.7

Account min.:$500
Reinvest. min.:$100
IRA account min.: 
IRA reinvest min.: 
Max. defer. load: 
Max. front load: 
Avg. P/E:26.28
Avg. P/B:6.26
Avg. YTM: 
Avg. Coupon Rate: 
Fund Description
This no-load Fundís objective is long-term capital appreciation. Under normal market conditions, at least 80% of the Fundís assets are invested in a diversified portfolio of common stocks of companies that the Fundís portfolio managers believe have long-term growth potential. Developed by the Presbyterian Foundation, a portion of the asset management fee supports ongoing gift development and asset management services for the Presbyterian Church (U.S.A.)
Social Issues06/30/18
Shareholder activism:YES
Community investment:-
Human rights:X
Products and Services:-
Animal testing:-
Nuclear power:-
Alcohol, tobacco & gambling:X/X/X
Other:Actively supports responsible practices involving the environment, social and racial equality and community development through shareholder advocacy.

P = Positive screen: fund seeks companies with a positive record or achievement.
R = Restricted investment: the fund has minimum criteria related to this issue.
X = Exclusionary screen: fund avoids companies involved with this issue.
"-" Fund does not screen for this criteria.
Fund Performance06/30/18
  Fund Return Percentile Rank *
Year to date: 3.10% 18
1 Year: 14.74% 16
Annualized returns:
3 Year: 9.29% 23
5 Year: 11.52% 20
10 Year: 7.76% 31
Since inception: 4.62% 73
Inception date: 07/01/99  
Bear Market: -18.96%  
Bear Market Period:     —      

* Percentile rank compares the performance of a fund to other funds with similar investing goals and styles. Funds with a percentile rank of 10 performed better than 90 percent of their peers. Funds with a percentile rank of 70 performed worse than 69 percent of their peers.
MPT Statistics06/30/18
Alpha 3YR:4.90
Alpha 5YR:5.96
Beta 3YR:0.75
Beta 5YR:0.75
R. Squared 3YR:74.84
R. Squared 5YR:71.01
Sharpe 3YR:0.82
Sharpe 5YR:1.06
Std. Dev. 3YR:10.36
Std. Dev. 5YR:10.36
Sector Distribution 
Basic Industries3.35% 
Cap. Goods & Tech.13.18% 
Consumer Cyclicals6.85% 
Consumer Non-Cyclicals19.38% 
Non - US7.86%