Investment Performance

(For periods ended August 31)
1 YEAR
3 YEAR
5 YEAR
10 YEAR
12 YEAR
Endowment Pool (inception date: 9/30/1989)
1 YEAR
4.6%
3 YEAR
4.3%
5 YEAR
5.6%
10 YEAR
4.8%
12 YEAR
6.3%
Total Fund Benchmark*
1 YEAR
4.2%
3 YEAR
3.9%
5 YEAR
5.0%
10 YEAR
4.3%
12 YEAR
6.3%
Social Impact Endowment Pool (inception date: 1/1/2004)
1 YEAR
2.2%
3 YEAR
6.6%
5 YEAR
5.4%
10 YEAR
4.8%
12 YEAR
60% S&P 500 / 40% BCAgg**
1 YEAR
5.1%
3 YEAR
8.7%
5 YEAR
8.9%
10 YEAR
6.3%
12 YEAR
Conservative Balanced Pool (inception date: 10/1/2013)
1 YEAR
5.2%
3 YEAR
5 YEAR
10 YEAR
12 YEAR
30% CRSP I.S. Total Market Index / 70% Barclays U.S. 1-5 Year Government/Credit Float Adjusted Index
1 YEAR
5.2%
3 YEAR
5 YEAR
10 YEAR
12 YEAR
Short Duration Bond Pool (inception date: 7/1/2014)
1 YEAR
2.4%
3 YEAR
5 YEAR
10 YEAR
12 YEAR
Barclays I/S/ 1-5 Year Government/Credit Float Index
1 YEAR
2.3%
3 YEAR
5 YEAR
10 YEAR
12 YEAR
Capital Preservation Pool (inception date: 1/1/2002)
1 YEAR
0.4%
3 YEAR
0.2%
5 YEAR
0.2%
10 YEAR
1.4%
12 YEAR
Bank of America ML 91-Day T-Bills
1 YEAR
0.2%
3 YEAR
0.1%
5 YEAR
0.1%
10 YEAR
0.1%
12 YEAR

* Total Fund Benchmark is a combination: 45% MSCI ACWI, which provides a benchmark for global equities; 25% HFR FOF Index, which provides a benchmark for our alternative investments allocation; 10% Manager Asset Weighted Real Assets Benchmark, which provides a benchmark for our real assets allocation; 10% Barclays Capital Intermediate Government Credit, 5% Barclays Capital Aggregate and 5% Citi Non-U.S. Government Bond Index, which benchmark our fixed income allocation.

** In April 2009, CCF moved from the Domini Fund to the PAX World Balanced Fund. The 60/40 index applies to periods after the move.

2015-2016 Annual Report