Growth Fund

Balanced Growth Fund

Income Fund

Balanced Income Fund

Treasury Obligations Fund





 
 
New Covenant Balanced Income Fund

Fund Overview
(as of 6/30/10)

         
Net Assets $85,049,096
Ticker Symbol NCBIX
NAV $17.06 Morningstar Category Conservative Allocation
Distribution Yield 2.20% Lipper Category Balanced
SEC 30-Day Yield
(subsidized)
2.41% Cusip Number 643642408
SEC 30-Day Yield
(unsubsidized)
2.24% Inception Date ¹ July 1, 1999
Expense Ratio See below    
 
 

Gross Expense Ratio: 1.34%

Net Expense Ratio: 1.17%

The Gross Expense Ratio is based on the most recent prospectus.  The Fund's advisor has contractually agreed to limit the fees for the period from July 1, 2009 through October 31, 2010.  The Net Expense Ratio is based upon the Gross Expense less the fees waived by the advisor.  Had this waiver not been in effect, the performance would have been lower.  The ratios also include those expenses incurred indirectly by the Fund as a result of the investments in the Growth Fund and the Income Fund.  Excluding these acquired fund fees and expenses, the Gross Expense Ratio would be 0.41% and the Net Expense Ratio would be 0.24%.


The Distribution Yield indicates the amount of dividends and/or interest that the Fund actually pays out. The SEC 30-Day Yield is based on a 30-day period and is computed by dividing the net investment income per share earned during the period by the maximum offering price per share on the last day of the period.

¹The performance information prior to July 1, 1999 represents performance records of the private pools previously managed by the Presbyterian Church (U.S.A.) Foundation, the predecessor entity to the Advisor. These private pools had investment objectives and policies in all material respects equivalent to those of the Funds. They were not subject to the requirements of the Investment Company Act of 1940 or the Internal Revenue Code of 1986, which may adversely affect performance results. The performance has been restated to reflect the total estimated expenses of the Funds and assumes reinvestment of dividends and distributions.