Growth Fund

Balanced Growth Fund

Income Fund

Balanced Income Fund

Treasury Obligations Fund





 
 
New Covenant Growth Fund

Fund Overview
(as of 12/31/11)

         
Net Assets $658,977,859
Ticker Symbol NCGFX
NAV $29.76 Morningstar Category Large Blend
Distribution Yield 1.02% Lipper Category Multi-Cap Core
SEC 30-Day Yield 1.00% Cusip Number 643642101
Capital Gains
Distributions
0.00% Inception Date July 1, 1999
Expense Ratio 0.98%    

The Distribution Yield indicates the amount of  income dividends and capital gains that the Fund actually pays out. 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.