Fund Characteristics and Long Term Performance
Institutional Investor Fact Sheet (PDF)
Manager Information & Allocation
The AHA Socially Responsible Equity Fund seeks to provide long-term capital growth in a portfolio of securities that meet the Fund’s social responsible investing guidelines. It seeks superior total return through a broadly diversified core equity portfolio. The portfolio manager performs research predominantly in large cap value style equity securities including a screen for socially responsible issues. Up to 50% of the Fund may be invested in mid cap equities. The Fund will typically hold 40-60 stocks.