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New Covenant Balanced Income Fund

Fund Characteristics

(as of 06/30/08)

Equity Portion - New Covenant Growth Fund
 
  NCBIX S&P 500 Index
Number of Holdings
754
500
Geometric Avg. Mkt. Cap
65.1 B
96.2B
Price to Book
2.22
2.28
Beta
1.03
1.00
Trailing 4 Qtrs. P/E Ratio
16.3
17.5
5 Years Earnings Growth
15.7
17.4
       
         

Price to Book is a ratio used to compare a stock’s market value to its book value. Beta is a measure of the volatility of a stock relative to the overall market. A beta of less than 1 indicates lower historical risk than the market; a beta of more than 1 indicates a higher historical risk than the market. Trailing 4 Quarters P/E Ratio is a ratio of a stock’s current market price vs. its earnings per share over the last 12 months. 


Income Portion - New Covenant Income Fund
       
  NCBIX Lehman
Aggregate Bond
Lehman
Intermediate
Aggregate Bond
Number of Holdings 208 9,457 8,295
Average Effective Maturity 5.87 yrs 7.48 yrs 5.71 yrs
Average Effective Duration 3.74 yrs 4.68 yrs 3.86 yrs
Average Wtd. Coupon 5.52% 5.36% 5.22%
Average Yield to Maturity 6.55% 5.07% 4.98%
       

Quality ratings, average effective maturity and average effective duration are subject to change

Top 5 Holdings
(as of 6/30/07)

New Covenant Growth Fund   New Covenant Income Fund
         
Exxon Mobil Corp 2.0%
WAMU 2007-Y6 2A1, 5.670%, 06/25/37 1.8%
AT&T, Inc 1.4% FNMA, 6.406%, 01/01/2011 1.6%
Microsoft Corp 1.3% FNMA, 4.500%, 08/01/2023 1.5%
General Electric Co 1.2% CS First Boston Morgage Capital Cert., 5.467%, 09/14/2039 1.2%
Hewlett-Packard Co. 1.2% FNMA, 5.707%, 02/01/2012 1.2%
Portfolio composition is subject to change.  
   
Asset Allocation   - New Covenant Balanced Income Fund
(as of 06/30/08)
 

Portfolio composition is subject to change.