About United Church Funds



Similar documents
BUILDING Hawai i Conference Foundation Honolulu, HI Donald G. Hart Katie McCloskey hawaii.ucfunds.org

Hillswick Asset Management, LLC Core Fixed Income Composite

INVESTMENT POLICY STATEMENT. Creighton University 403(b) Retirement Plan

LifePath Index 2060 Fund Q

INVESTMENT POLICY. Wharton County Junior College Endowment Fund PURPOSE

THE PHILADELPHIA FOUNDATION, INC. INVESTMENT POLICY. APPROVED November, 2009

Important Information on Your Investment Options, Fees, and Other Expenses for the JPMorgan Chase 401(k) Savings Plan: Fee Disclosure Notice

The Master Statement of Investment Policies and Objectives of The Lower Colorado River Authority Retirement Plan and Trust. Amended June 16, 2015

Optional Asset Allocation program for participants

Schwab Target Funds. Go paperless today. Simplify your financial life by viewing these documents online. Sign up at schwab.

Manning & Napier Earnings Release Supplement. For the period ended September 30, 2015

Modernizing Portfolio Theory & The Liquid Endowment UMA

Spectrum of Investment Options

Target Retirement Funds

How To Choose A 401(K) Plan Investment

Wealth management and customized investment portfolios for individuals and institutions looking to preserve and grow wealth.

General Investment-Related Terms

Average Annualized Return as of 11/30/ YTD 1 Year 3 Years 5 Years

MML SERIES INVESTMENT FUND

Investment Performance Summary

Comments from a corporate plan sponsor with approximately $5 billion in DC assets as of 9/30/14

MOTOROLA SOLUTIONS 401(k) PLAN ANNUAL FEE DISCLOSURE - APRIL 2015

INDEPENDENT SCHOOL DISTRICT #877 POLICY. Buffalo-Hanover-Montrose. POLICY TITLE Investments OPEB CODE NO

Statement of Investment Policies and Procedures

SCOTT & WHITE RETIREMENT/401(K) PLAN Plan Number Plan Information as of 05/16/2015

IU Retirement Plan (57524) Start investing in yourself today, with help from IU Retirement Plan and Fidelity.

JPMorgan SmartRetirement: Q Views Strategic Asset Allocation, Manager Selection, and Tactical Asset Allocation

Investment Funds Description

Investment Policy Statement

State Street Target Retirement Funds - Class K

Balanced Fund RPBAX. T. Rowe Price SUMMARY PROSPECTUS

III to I Equity Fund QP

I.A.M. National 401(k) Plan. Investment Options Summary

Morgan Stanley. R & R Partners. 522 Fifth Avenue, 15th Floor New York, NY (212)

STATEMENT OF POLICY AND INVESTMENT OBJECTIVES. The University of North Carolina at Pembroke Endowment Board. and

Security Life of Denver Insurance Company

Sample Glossary Of Investment-Related Terms For Disclosures To Retirement Plan Participants

Peace of mind your employees can take to the bank

Endowment Policies, Guidelines, and Objectives

PRINCIPAL TRUST TARGET DATE FUNDS SUMMARY

Investments 11 - Final Investment Plan Questions & Answers

ADVISOR PROGRAM PORTFOLIO CONSTRUCTION

Asset Management Portfolio Solutions Disciplined Process. Customized Approach. Risk-Based Strategies.

GIPS List of Composite Descriptions. Perkins Composites Fixed Income Composites Global Macro Composites Alternative Composites...

Guide to mutual fund investing. Start with the basics

New York's 529 Advisor-Guided College Savings Program

Your investment options

Timely Topics. The Benchmark Standard. May 30, Highlights. What Is a Benchmark, and Why Is It Important? LPL FINANCIAL RESEARCH

INVESTMENT POLICY STATEMENT Valued Client

Mutual Fund Advisory Program

CalPERS 457 Plan Target Retirement Date Funds

ANNUITIES VARIABLE. MetLife Retirement Perspectives. asset allocation questionnaire

VIP Benchmark Glossary

RISK ASSESSMENT QUESTIONNAIRE

FREE MARKET U.S. EQUITY FUND FREE MARKET INTERNATIONAL EQUITY FUND FREE MARKET FIXED INCOME FUND of THE RBB FUND, INC. PROSPECTUS.

July 28, Re: Important information about your retirement plan

The Bright Start College Savings Program Direct-Sold Plan. Supplement dated January 30, 2015 to Program Disclosure Statement dated November 12, 2012

SAMPLE INVESTMENT POLICY STATEMENT

CI LifeCycle Portfolios

SAMPLE CLIENT QUARTERLY REPORT 6789 MAIN STREET SUITE 100 CHICAGO, IL 54321

Basic Investment Education

Statement of Investment Policy. Alabama College Education Savings Program (ACES) Trust Fund. The CollegeCounts 529 Fund

Economic & Market Outlook

COMMUNITY FOUNDATION OF GREATER MEMPHIS, INC. INVESTMENT GUIDELINES FOR MONEY MARKET POOL

Sample Glossary Of Investment-Related Terms For Disclosures To Retirement Plan Participants. Version 1.01

Prospectus Socially Responsible Funds

Investment Benefits. Investment Objectives

Voya Retirement Insurance and Annuity Company

JOHNS HOPKINS UNIVERSITY INVESTMENT OPTIONS

Stable Value Option. New York Life Insurance Company Anchor Account III As of 9/30/2011 INVESTMENT OBJECTIVE SECTOR DIVERSIFICATION. Cash

RETIREE HEALTH CARE BENEFIT TRUST ANNUAL REPORT FOR THE YEAR ENDED SEPTEMBER 30, 2010 PREPARED BY MARTHA O. HAYNIE, CPA ORANGE COUNTY COMPTROLLER

MOA Trust Fund

HSBC World Selection Funds April 30, Monthly Factsheets Class A and C Shares. Investment products: ARE NOT A BANK ARE NOT DEPOSIT OR

Vanguard Target Retirement Funds

RETIREMENT INSIGHTS. Is It Time to Rebalance Your Plan Investments? Mutual Fund Categories: A Primer for New Investors

The Morningstar Category TM Classifications for 529 Investment Options

SAVINGS GROWTH PLAN. Looking forward to new horizons. investment options

Security Life of Denver Insurance Company

Glossary of Investment Terms

ThoughtCapital. Investment Strength and Flexibility

The Bond Fund of America

An actively managed approach for today s fixed-income markets

Retirement Balanced Fund

Target-Date Funds: The Search for Transparency

Investment Options AMERICAN CENTURY HERITAGE CLASS A (ATHAX.LW) AMERICAN CENTURY STRAT ALLOC CLASS A (ACVAX.LW) CALVERT INCOME FUND CLASS A (CFICX.

GLOSSARY OF INVESTMENT-RELATED TERMS FOR NATIONAL ELECTRICAL ANNUITY PLAN PARTICIPANTS

CREIGHTON UNIV. TAX DEFERRED ANNUITY PLAN

U.S. Bank 401(k) Savings Plan Annual Fee Disclosure Notice

Fund commentary. John Hancock Lifestyle Portfolios Q1 2016

Start investing in yourself today, with help from the University System of Maryland Supplemental 403(b) Plan and Fidelity.

Transcription:

About United Church Funds Established in 1909, United Church Funds (UCF) offers a family of professionally managed, well-diversified and socially responsible investment funds to the churches and ministries of the United Church of Christ. At present, UCF manages over half a billion dollars in assets from small church reserve accounts to some of the denomination s historic endowments. With United Church Funds, investors enjoy the best practices of modern portfolio management while remaining faithful to the values of the United Church of Christ. We seek solid investment performance with a purpose: to make more money available for your ministry. 1

Assets under management Market Value as of June 30, 2013: $719.3 million Domestic Core Equity $191.9 M Fixed Income $248.0 M Small Cap Equity $44.7 M International Equity $182.5 M Alternatives $43.0 M Cash & Equivalent $9.2 M 2

Investment Management Structure Experienced board leadership Professional Chief Investment Officer monitoring diversified investment managers Outside investment manager evaluation in consultation with Summit Strategies Group Highly skilled investment managers selected and monitored for specialty & performance 3

Responsibilities & Decision Process Board of Directors Summit Strategies President Investment Committee Investment Managers Chief Investment Officer Director, Investor Development BNY/Mellon Custodian Director, Finance & Admin Director, Marketing & Strategic Init. SRI Committee ICCR & Partners Director, SR 4

Investment Manager Selection Strong long-term track record Stable investment management team Consistent investment process Ability & willingness to honor social screens Clear client focus 5

Investment Strategy Maximize return with an acceptable level of risk Diversify holdings & asset classes to reduce risk and enhance returns Monitor portfolios & managers to ensure continued long-term performance Advocate for social & corporate responsibility in the management of companies we own Maintain a long-term investment horizon that reflects the goals of our investors Preserve low management costs with no additional account management fees 6

Cash & Equivalent Benchmark: Lipper Index Short-term/overnight funds through BNY/Mellon Operates like a traditional money market fund and offered primarily for short-term cash management Net Asset Value target: $1 per unit 0.2% 0.0% 0.01% 0.01% 0.01% 0.01% 0.01% YTD 6/30/13 0.02% 1 Year 3 Years Cash & Equivalent Fund Lipper Index Past performance is no guarantee of future results. UCF performance is reported net of fees. 7

Fixed Income Benchmark: 95% Barclays Capital US Government/Credit Index, 5% JPMorgan Government Bond Index Emerging Markets Global Diversified Relatively low degree of market risk and total return over time Invested primarily in intermediate & long-term US Dollar government and investment-grade corporate fixed-income obligations Includes an emerging markets debt allocation (up to 10%) 6% 4% 3.69% 3.86% 5.44% 5.27% 4.41% 4.42% 2% 0% -2% -4% -0.12% -0.68% -2.78% -2.89% YTD 6/30/13 1 Year 3 Years 5 Years 10 Years Fixed Income Custom Index Past performance is no guarantee of future results. UCF performance is reported net of fees. 8

Domestic Core Equity Benchmark: S&P 500 Index Managed by Quantitative Management Associates (QMA) using a proprietary algorithm to guide stock selection (a quant manager) Focus: companies with high quality earnings and/or with newsworthy events affecting enterprise growth 25% 20% 21.91% 20.60% 18.50% 18.45% 15% 14.03% 13.82% 10% 5% 6.25% 7.01% 0% YTD 6/30/13 1 Year 3 Years 5 Years Domestic Core Equity S&P 500 Past performance is no guarantee of future results. UCF performance is reported net of fees. 9

Small Cap Equity Benchmark: Russell 2000 Index Highest degree of risk of any of UCF s domestic funds Core manager: Fiduciary Management, Inc. Growth manager: Westfield Capital Management Value manager: Dimensional Fund Advisors (mutual fund) 30% 25% 20% 15% 10% 5% 0% 27.11% 24.21% 16.08% 18.67% 15.86% 15.22% 8.77% 2.42% YTD 6/30/13 1 Year 3 Years 5 Years Small Cap Equity Russell 2000 Past performance is no guarantee of future results. UCF performance is reported net of fees. 10

International Equity Benchmark: UCF Custom Index 70% EAFE net, 30% MSCI EM net Carries risk of currency exchange fluctuations, reduced liquidity, less developed economies and governmental instability 15% 10% 12.10% 13.74% 8.31% 8.23% 5% 0% -5% 0.29% -0.15% -0.78% -1.58% YTD 6/30/13 1 Year 3 Years 5 Years International Equity Custom Index Past performance is no guarantee of future results. UCF performance is reported net of fees. 11

Total Equity A fund of funds blending all equity portfolios Current Policy Index: 40% S&P 500 Index 10% Russell 2000 Index 35% EAFE Index 15% MSCI Emerging Markets Net Index 20% 18% 16% 14% 12% 10% 8% 6% 4% 2% 0% 6.46% 6.89% 17.74% 17.60% 13.92% 13.48% 3.06% 4.39% 6.69% 5.81% YTD 6/30/13 1 Year 3 Years 5 Years 10 Years Total Equity Custom Index Past performance is no guarantee of future results. UCF performance is reported net of fees. 12

Total Equity Asset Allocation Each target allocation lies within a band that permits the Chief Investment Officer to adjust allocations depending on a range of factors. 100% 80% 60% 40% 13% 32% 11% 15% 35% 10% International Emerging Markets International Developed Markets Small Cap 20% 45% 40% Domestic Core 0% Actual 6/30/13 Target 13

Balanced Funds Three funds blend Total Equity & Fixed Income to offer a range of risk profiles 100% 90% 80% 70% 65% 40% 25% 60% 50% 40% 30% 20% 10% 35% 60% 75% 0% Conservative Moderate Total Equity Aggressive Fixed Income 14

Performance MANAGED FUNDS FUNDS OF FUNDS TOTAL RATES OF RETURN AS OF 6/30/13 ANNUALIZED Returns on UCF funds are presented net of fees Quarter Year To One Three Five Ten Current Market Unit Value Date Year Years Years Years Yield Value Fixed-Income Fund -2.88% -2.78% -0.12% 3.69% 5.44% 4.41% 4.01% $4.7590 $248.0M Custom Index 95% Barclays Capital Gov't Bond, 5% JPM GBI-EM Global Diversified -2.74% -2.89% -0.68% 3.86% 5.27% 4.42% Barclays Capital Gov't Credit Bond Index (BCGC) -2.51% -2.67% -0.62% 3.88% 5.29% 4.43% Domestic Core Equity Fund Inception 10/1/05 2.70% 14.03% 21.91% 18.50% 6.25% N/A 2.13% $13.0914 $191.9M S&P 500 Index 2.91% 13.82% 20.60% 18.45% 7.01% Small Cap Equity Fund Inception 10/1/05 2.81% 16.08% 27.11% 15.22% 2.42% N/A 1.04% $12.2943 $44.7M Russell 2000 Index 3.08% 15.86% 24.21% 18.67% 8.77% International Equity Fund Inception 10/1/05-4.25% -1.58% 12.10% 8.31% 0.29% N/A 3.08% $11.3587 $182.5M Custom Index 70% EAFE net, 30% MSCI EM net -3.14% -0.15% 13.74% 8.23% -0.78% Cash & Equivalent Fund 0.01% 0.01% 0.01% 0.01% 0.20% N/A 0.01% $1.0000 $ 9.2M Lipper Money Market Funds Index (annualized) 0.00% 0.01% 0.01% 0.02% 0.25% Alternatives Fund Inception 07/1/10 1.30% 4.65% 9.30% 6.01% N/A N/A 0.00% $11.7340 $ 43.0M Custom Index 70% HFRI Funds of Funds Composite, 30% NCREIF Fund Index Total Equity Fund 44.5% Domestic Core Equity, 11.1% Small Cap Equity and 44.4% International Equity Current Policy Index 40% S&P 500, 10% Russell 2000, 35% EAFE,15% MSCI Emerging Markets Net -0.02% 3.11% 7.44% 5.52% -0.09% 6.89% 17.60% 13.92% 4.39% 6.69% Conservative Balanced Fund Inception 01/01/06 35.3% Equity, 64.7% Fixed-Income Current Policy Index 35% Equity Policy, 65% BCGC -1.94% -1.66% 0.55% 0.62% 6.03% 5.49% 7.38% 7.64% 5.19% 5.48% N/A 3.45% $11.4425 $ 11.1M Moderate Balanced Fund 60.2% Equity, 39.8% Fixed-Income Current Policy Index 60% Equity Policy, 40% BCGC -1.35% -1.05% 2.84% 3.01% 10.31% 10.03% 9.73% 10.17% 4.62% 5.28% 5.65% 6.13% 3.06% $8.8955 $357.5M Aggressive Balanced Fund Inception 01/01/06 75.2% Equity, 24.8% Fixed-Income Current Policy Index 75% Equity Policy, 25% BCGC -1.01% -0.69% 4.21% 4.45% 13.13% 12.82% 11.10% 11.62% 4.10% 5.03% N/A 2.82% $11.7017 $ 19.7M Alternatives Balanced Fund Inception 07/1/10-0.88% 3.49% 10.79% 8.99% N/A N/A 0.00% $12.0553 $223.1M Current Policy Index 50% Equity Policy, 30% Fixed Income Policy and 20% Alternatives Policy -0.56% 6.46% 17.74% 13.48% -0.79% 3.39% 10.35% 9.54% 3.06% 5.81% 2.43% Past performance is no guarantee of future results. UCF performance is reported net of fees. $12.0220 $399.4M 15

Management Fees Inclusive of all administrative, investment management & custody costs no 12b-1 or transaction fees Set annually based on expenses & estimated net assets 2013 Cash & Equivalent.00% Fixed Income.45% Domestic Core Equity.55% Small Cap Equity 1.00% International Equity 1.10% Total Equity.90% Conservative Balanced.60% Moderate Balanced.70% Aggressive Balanced.75% Alternative Balanced.80% 16

Reporting & Transactions Quarterly statements & online account access with custom reports available on request Customer service from real human beings with a toll-free number and easy email access Uncomplicated fund access with turnaround within two business days Free electronic funds transfers for all distributions and deposits if desired Multiple account options for organizations wishing to maintain separate funds Option to reinvest or receive income and ability to establish regular payout schedules 17

The United Church Funds Advantage A family of professionally managed, well diversified and actively managed funds A not-for-profit structure and low management fees A socially responsible portfolio with active shareholding reflective of UCC values Over 100 years of service to the churches & organizations of the United Church of Christ 18

Governance Board of Directors Mr. Nesa Joseph, Chair Rev. Dr. Charles Buck Rev. Kathy Dwyer Mr. William Epke Ms. Barbara Everett Ms. Sylvia G. Ferrell-Jones Ms. Edith Guffey Mr. Steven J. Guy The Honorable Brian F. Holeman Rev. Dr. Sandra Hulse Rev. Penny L. Lowes Rev. Gwendolyn V. Kirkland Ms. Stella A. Schoen Rev. Harold S. Schultz Mr. Wade Zick Investment Committee Mr. Steven J. Guy,* Chair Mr. Dennis Bushe Ms. Sylvia G. Ferrell-Jones* Mr. Donald G. Hart Mr. Douglas Hatfield Ms. Susan S. Huang Rev. Dr. Sandra S. Hulse* Rev. Gwendolyn V. Kirkland* Mr. Mark Parthemer Rev. Dr. Harold C. Smith, Emeritus * Members of the Board of Directors Ex-officio Rev. Geoffrey A. Black UCC General Minister & President Rev. Bernard Wilson Chair, United Church of Christ Board Members Emeritus Mr. Richard A. Hopkins Rev. Dr. Harold C. Smith 19

Our people UCF Staff Donald G. Hart President Michelle Andreé Director, Finance & Administration Rev. Cheri L. Lovell Director, Marketing & Strategic Initiatives Kathryn O. McCloskey Director, Social Responsibility Rev. Nelson R. Murphy Director, Investor Development Matthew W. Wagner Investor Development Associate Milagros Hernandez Investor Services Team Leader Crysta Seelal Investor Services Representative Carla Bergmeier Communications Specialist/Writer Karen Sherman-Chang Controller Michele Hamilton Staff Accountant Gaylord Tang Administrative Assistant Shared Staff with The Pension Boards United Church of Christ David A. Klassen Chief Investment Officer Michael J. de Guzman Research Analyst/Generalist info@ucfunds.org 877-806-4989 ucfunds.org 20