0001752724-21-259771.txt : 20211126 0001752724-21-259771.hdr.sgml : 20211126 20211126103754 ACCESSION NUMBER: 0001752724-21-259771 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211126 PERIOD START: 20220630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NEW COVENANT FUNDS CENTRAL INDEX KEY: 0001070222 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09025 FILM NUMBER: 211449900 BUSINESS ADDRESS: STREET 1: 200 EAST 12TH ST CITY: JEFFERSONVILLE STATE: IN ZIP: 47130 BUSINESS PHONE: 5025695984 MAIL ADDRESS: STREET 1: 200 EAST 12TH ST CITY: JEFFERSONVILLE STATE: IN ZIP: 47130 0001070222 S000024941 New Covenant Growth Fund C000074154 New Covenant Growth Fund NCGFX NPORT-P 1 primary_doc.xml NPORT-P false 0001070222 XXXXXXXX S000024941 C000074154 NEW COVENANT FUNDS 811-09025 0001070222 RVB8BBBTG6J5RT8BQ908 200 EAST 12TH ST JEFFERSONVILLE 47130 5025695984 New Covenant Growth Fund S000024941 NBX1ARV3J4JXF08Z8869 2022-06-30 2021-09-30 N 564500674.52 427325.44 564073349.08 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 2658641.45000000 N Axonics Inc 549300LJY4X7N57VJL05 AXONICS INC COMMON STOCK 05465P101 351.00000000 NS USD 22846.59000000 0.004050287083 Long EC US N 1 N N N ALPHABET INC. 5493006MHB84DD0ZWV18 ALPHABET INC-CL A COMMON STOCK 02079K305 4202.00000000 NS USD 11234131.04000000 1.991608193920 Long EC US N 1 N N N DOLLAR TREE, INC. 549300PMSTQITB1WHR43 DOLLAR TREE INC COMMON STOCK 256746108 1320.00000000 NS USD 126350.40000000 0.022399640083 Long EC US N 1 N N N MICROSOFT CORPORATION INR2EJN1ERAN0W5ZP974 MICROSOFT CORP COMMON STOCK 594918104 101033.00000000 NS USD 28483223.36000000 5.049560204618 Long EC US N 1 N N N SANGAMO THERAPEUTICS, INC. 2549006WMRKRC4G32Z67 SANGAMO THERAPEUTICS INC COMMON STOCK 800677106 1002.00000000 NS USD 9028.02000000 0.001600504617 Long EC US N 1 N N N ADVANCED MICRO DEVICES, INC. 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COMMON STOCK 359694106 976.00000000 NS USD 63010.56000000 0.011170632348 Long EC US N 1 N N N LHC GROUP, INC. 5299009NPLWAMRQYZX73 LHC GROUP INC COMMON STOCK 50187A107 57.00000000 NS USD 8943.87000000 0.001585586345 Long EC US N 1 N N N HERITAGE FINANCIAL CORPORATION N/A HERITAGE FINANCIAL CORP COMMON STOCK 42722X106 1744.00000000 NS USD 44472.00000000 0.007884081045 Long EC US N 1 N N N SLEEP NUMBER CORPORATION 529900W0TZQLBT2DSS66 SLEEP NUMBER CORP COMMON STOCK 83125X103 1033.00000000 NS USD 96564.84000000 0.017119199153 Long EC US N 1 N N N CLOUDERA, INC. 549300PGONC4JOI0RG62 CLOUDERA INC COMMON STOCK 18914U100 4481.00000000 NS USD 71561.57000000 0.012686571722 Long EC US N 1 N N N Trinseo S.A. 222100SZ6J5ZF05ZTR58 TRINSEO SA COMMON STOCK L9340P101 1345.00000000 NS USD 72603.10000000 0.012871216149 Long EC US N 1 N N N Accolade Inc 549300PHKG8J7A22NF08 ACCOLADE INC COMMON STOCK 00437E102 956.00000000 NS USD 40314.52000000 0.007147035055 Long EC US N 1 N N N ORMAT TECHNOLOGIES, INC. 5493000TSHHWY24VHM09 ORMAT TECHNOLOGIES INC COMMON STOCK 686688102 644.00000000 NS USD 42896.84000000 0.007604833674 Long EC US N 1 N N N DOLBY LABORATORIES, INC. 549300X04FB2QPCJ5J24 DOLBY LABORATORIES INC-CL A COMMON STOCK 25659T107 731.00000000 NS USD 64328.00000000 0.011404190626 Long EC US N 1 N N N ZIONS BANCORPORATION, NATIONAL ASSOCIATION 8WH0EE09O9V05QJZ3V89 ZIONS BANCORP NA COMMON STOCK 989701107 1771.00000000 NS USD 109607.19000000 0.019431371855 Long EC US N 1 N N N GLAUKOS CORPORATION 5299004JA1LHE21M6T14 GLAUKOS CORP COMMON STOCK 377322102 167.00000000 NS USD 8044.39000000 0.001426124813 Long EC US N 1 N N N EXELIXIS, INC. 254900PJQB59O2O95R37 EXELIXIS INC COMMON STOCK 30161Q104 4344.00000000 NS USD 91832.16000000 0.016280180609 Long EC US N 1 N N N ADVANCE AUTO PARTS, INC. 529900UCNQ5H9FSL0Y70 ADVANCE AUTO PARTS INC COMMON STOCK 00751Y106 317.00000000 NS USD 66218.13000000 0.011739276480 Long EC US N 1 N N N UNIVERSAL DISPLAY CORPORATION N/A UNIVERSAL DISPLAY CORP COMMON STOCK 91347P105 521.00000000 NS USD 89070.16000000 0.015790527977 Long EC US N 1 N N N UNITI GROUP INC. 549300V3NU625PJUVA84 UNITI GROUP INC REIT 91325V108 1247.00000000 NS USD 15425.39000000 0.002734642582 Long EC US N 1 N N N WORTHINGTON INDUSTRIES, INC. 1WRCIANKYOIK6KYE5E82 WORTHINGTON INDUSTRIES COMMON STOCK 981811102 1149.00000000 NS USD 60552.30000000 0.010734827323 Long EC US N 1 N N N AMERICAN FINANCIAL GROUP, INC. 549300AFOM7IVKIU1G39 AMERICAN FINANCIAL GROUP INC COMMON STOCK 025932104 449.00000000 NS USD 56497.67000000 0.010016014777 Long EC US N 1 N N N MACY'S, INC. 529900NZQ81TIOW3CW52 MACY'S INC COMMON STOCK 55616P104 4042.00000000 NS USD 91349.20000000 0.016194560538 Long EC US N 1 N N N ALLEGIANCE BANCSHARES, INC. N/A ALLEGIANCE BANCSHARES INC COMMON STOCK 01748H107 1318.00000000 NS USD 50281.70000000 0.008914035751 Long EC US N 1 N N N HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL, INC. N/A HANNON ARMSTRONG SUSTAINABLE REIT 41068X100 20833.00000000 NS USD 1114148.84000000 0.197518432986 Long EC US N 1 N N N CENTENE CORPORATION 549300Z7JJ4TQSQGT333 CENTENE CORP COMMON STOCK 15135B101 4805.00000000 NS USD 299399.55000000 0.053078123702 Long EC US N 1 N N N BLACK KNIGHT, INC. 549300TUSNXS3BFFML48 BLACK KNIGHT INC COMMON STOCK 09215C105 1569.00000000 NS USD 112968.00000000 0.020027182667 Long EC US N 1 N N N SAIA, INC. 549300WNPG4N9GBOYB29 SAIA INC COMMON STOCK 78709Y105 96.00000000 NS USD 22850.88000000 0.004051047623 Long EC US N 1 N N N AVNET, INC. XJI53DCPL7QABOWK4Z75 AVNET INC COMMON STOCK 053807103 325.00000000 NS USD 12015.25000000 0.002130086454 Long EC US N 1 N N N WALMART INC. 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N/A NOVANTA INC COMMON STOCK 67000B104 98.00000000 NS USD 15141.00000000 0.002684225380 Long EC US N 1 N N N AMERICAN EAGLE OUTFITTERS, INC. 5299001Z9HXK01DHW793 AMERICAN EAGLE OUTFITTERS COMMON STOCK 02553E106 3416.00000000 NS USD 88132.80000000 0.015624351007 Long EC US N 1 N N N KANSAS CITY SOUTHERN 5493008C12PZMWP3WY03 KANSAS CITY SOUTHERN COMMON STOCK 485170302 1741.00000000 NS USD 471184.24000000 0.083532441440 Long EC US N 1 N N N AMETEK, INC. 549300WZDEF9KKE40E98 AMETEK INC COMMON STOCK 031100100 1369.00000000 NS USD 169769.69000000 0.030097094691 Long EC US N 1 N N N ABBOTT LABORATORIES HQD377W2YR662HK5JX27 ABBOTT LABORATORIES COMMON STOCK 002824100 27119.00000000 NS USD 3203567.47000000 0.567934555891 Long EC US N 1 N N N ESSENTIAL PROPERTIES REALTY TRUST, INC. 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N/A PULTEGROUP INC COMMON STOCK 745867101 5125.00000000 NS USD 235340.00000000 0.041721524405 Long EC US N 1 N N N ARROWHEAD PHARMACEUTICALS, INC. 549300O3CSB8T7OZ3D66 ARROWHEAD PHARMACEUTICALS IN COMMON STOCK 04280A100 251.00000000 NS USD 15669.93000000 0.002777995100 Long EC US N 1 N N N SIMPSON MANUFACTURING CO., INC. 529900EJUNNL15LZ8056 SIMPSON MANUFACTURING CO INC COMMON STOCK 829073105 643.00000000 NS USD 68781.71000000 0.012193752835 Long EC US N 1 N N N SPX CORPORATION P761FCI0CPOG24I8JE10 SPX CORP COMMON STOCK 784635104 999.00000000 NS USD 53396.55000000 0.009466242304 Long EC US N 1 N N N ENTERPRISE FINANCIAL SERVICES CORP 5493001XTU5DLD632129 ENTERPRISE FINANCIAL SERVICE COMMON STOCK 293712105 1063.00000000 NS USD 48132.64000000 0.008533046292 Long EC US N 1 N N N ALASKA AIR GROUP, INC. 529900G48RT4KWLC6C27 ALASKA AIR GROUP INC COMMON STOCK 011659109 9238.00000000 NS USD 541346.80000000 0.095970993999 Long EC US N 1 N N N VMWARE, INC. 549300BUDHS3LRWBE814 VMWARE INC-CLASS A COMMON STOCK 928563402 1343.00000000 NS USD 199704.10000000 0.035403924033 Long EC US N 1 N N N NOV INC. 549300EHF3IW1AR6U008 NOV INC COMMON STOCK 62955J103 482.00000000 NS USD 6319.02000000 0.001120247927 Long EC US N 1 N N N Shenandoah Telecommunications Company 549300XH3H4OUKFPHS84 SHENANDOAH TELECOMMUNICATION COMMON STOCK 82312B106 222.00000000 NS USD 7010.76000000 0.001242880914 Long EC US N 1 N N N ECHOSTAR CORPORATION 549300EE20907QZ9GT38 ECHOSTAR CORP-A COMMON STOCK 278768106 1124.00000000 NS USD 28673.24000000 0.005083246717 Long EC US N 1 N N N XEROX HOLDINGS CORPORATION 5493000Y33XDVO2CXC18 XEROX HOLDINGS CORP COMMON STOCK 98421M106 4697.00000000 NS USD 94738.49000000 0.016795420339 Long EC US N 1 N N N SPLUNK INC. 549300XGDSGBP6UEI867 SPLUNK INC COMMON STOCK 848637104 1357.00000000 NS USD 196371.47000000 0.034813109025 Long EC US N 1 N N N CALAVO GROWERS, INC. N/A CALAVO GROWERS INC COMMON STOCK 128246105 571.00000000 NS USD 21835.04000000 0.003870957568 Long EC US N 1 N N N GrowGeneration Corp N/A GROWGENERATION CORP COMMON STOCK 39986L109 2599.00000000 NS USD 64117.33000000 0.011366842646 Long EC US N 1 N N N PERFICIENT, INC. 549300HTBXKL2755T650 PERFICIENT INC COMMON STOCK 71375U101 1142.00000000 NS USD 132129.40000000 0.023424152234 Long EC US N 1 N N N THE COCA-COLA COMPANY UWJKFUJFZ02DKWI3RY53 COCA-COLA CO/THE COMMON STOCK 191216100 44340.00000000 NS USD 2326519.80000000 0.412449870889 Long EC US N 1 N N N RESMED INC. 529900T3QE5253CCXF22 RESMED INC COMMON STOCK 761152107 2930.00000000 NS USD 772201.50000000 0.136897355859 Long EC US N 1 N N N LINDSAY CORPORATION 549300ZFO0QG5H8TPI61 LINDSAY CORP COMMON STOCK 535555106 91.00000000 NS USD 13812.89000000 0.002448775504 Long EC US N 1 N N N CARTER'S, INC. 5299003WAQK4R3L3ZU36 CARTER'S INC COMMON STOCK 146229109 471.00000000 NS USD 45800.04000000 0.008119518512 Long EC US N 1 N N N WAYFAIR INC. 54930027N9ZAVYFDHK53 WAYFAIR INC- CLASS A COMMON STOCK 94419L101 320.00000000 NS USD 81763.20000000 0.014495136161 Long EC US N 1 N N N Cboe Global Markets, Inc. 529900RLNSGA90UPEH54 CBOE GLOBAL MARKETS INC COMMON STOCK 12503M108 99.00000000 NS USD 12262.14000000 0.002173855584 Long EC US N 1 N N N NCR CORPORATION 549300YKTY8JX1DV2R67 NCR CORPORATION COMMON STOCK 62886E108 334.00000000 NS USD 12945.84000000 0.002295063225 Long EC US N 1 N N N V.F. CORPORATION CWAJJ9DJ5Z7P057HV541 VF CORP COMMON STOCK 918204108 4023.00000000 NS USD 269500.77000000 0.047777610915 Long EC US N 1 N N N ESSENT GROUP LTD 254900QUO860OUT6ZF83 ESSENT GROUP LTD COMMON STOCK G3198U102 970.00000000 NS USD 42689.70000000 0.007568111499 Long EC US N 1 N N N INTERFACE, INC. 549300VXZWQOIDFPU355 INTERFACE INC COMMON STOCK 458665304 2949.00000000 NS USD 44677.35000000 0.007920485885 Long EC US N 1 N N N TEREX CORPORATION YAWJZJYEQ7M1SYMOS462 TEREX CORP COMMON STOCK 880779103 341.00000000 NS USD 14356.10000000 0.002545076810 Long EC US N 1 N N N COMPASS MINERALS INTERNATIONAL, INC. 2549008X9G8XP7YJGC47 COMPASS MINERALS INTERNATION COMMON STOCK 20451N101 851.00000000 NS USD 54804.40000000 0.009715828639 Long EC US N 1 N N N RAMBUS INC. 2549000211GDCQSLV833 RAMBUS INC COMMON STOCK 750917106 3633.00000000 NS USD 80652.60000000 0.014298246873 Long EC US N 1 N N N SIX FLAGS ENTERTAINMENT CORPORATION 549300JYTDUAA4JQ3717 SIX FLAGS ENTERTAINMENT CORP COMMON STOCK 83001A102 248.00000000 NS USD 10540.00000000 0.001868551318 Long EC US N 1 N N N CACTUS, INC. 549300J3T8C9F8QFKV08 CACTUS INC - A COMMON STOCK 127203107 1525.00000000 NS USD 57523.00000000 0.010197787237 Long EC US N 1 N N N CIRRUS LOGIC, INC. 549300NKSJEM5ZZSSV18 CIRRUS LOGIC INC COMMON STOCK 172755100 640.00000000 NS USD 52704.00000000 0.009343465718 Long EC US N 1 N N N ILLUMINA, INC. SQ95QG8SR5Q56LSNF682 ILLUMINA INC COMMON STOCK 452327109 3200.00000000 NS USD 1297952.00000000 0.230103408026 Long EC US N 1 N N N AUTONATION, INC. N/A AUTONATION INC COMMON STOCK 05329W102 970.00000000 NS USD 118107.20000000 0.020938269853 Long EC US N 1 N N N EQT CORPORATION 4NT01YGM4X7ZX86ISY52 EQT CORP COMMON STOCK 26884L109 2732.00000000 NS USD 55896.72000000 0.009909477214 Long EC US N 1 N N N PORTLAND GENERAL ELECTRIC COMPANY GJOUP9M7C39GLSK9R870 PORTLAND GENERAL ELECTRIC CO COMMON STOCK 736508847 894.00000000 NS USD 42009.06000000 0.007447446341 Long EC US N 1 N N N WORKDAY, INC. 549300J0DYC0N31V7G13 WORKDAY INC-CLASS A COMMON STOCK 98138H101 2079.00000000 NS USD 519521.31000000 0.092101729473 Long EC US N 1 N N N STRYKER CORPORATION 5493002F0SC4JTBU5137 STRYKER CORP COMMON STOCK 863667101 3529.00000000 NS USD 930667.88000000 0.164990578178 Long EC US N 1 N N N SCANSOURCE, INC. 7FHBAN017QDY4K2KP156 SCANSOURCE INC COMMON STOCK 806037107 1292.00000000 NS USD 44948.68000000 0.007968587786 Long EC US N 1 N N N Pepsico, Inc. FJSUNZKFNQ5YPJ5OT455 PEPSICO INC COMMON STOCK 713448108 27467.00000000 NS USD 4131311.47000000 0.732406783043 Long EC US N 1 N N N NEXTERA ENERGY, INC. N/A NEXTERA ENERGY INC COMMON STOCK 65339F101 27072.00000000 NS USD 2125693.44000000 0.376846990460 Long EC US N 1 N N N Livexlive Media Inc 5493004547XB11DZ6E32 LIVEXLIVE MEDIA INC COMMON STOCK 53839L208 14750.00000000 NS USD 44102.50000000 0.007818575380 Long EC US N 1 N N N AXIS CAPITAL HOLDINGS LIMITED N/A AXIS CAPITAL HOLDINGS LTD COMMON STOCK G0692U109 825.00000000 NS USD 37983.00000000 0.006733698740 Long EC US N 1 N N N ALLETE, INC. 549300NNLSIMY6Z8OT86 ALLETE INC COMMON STOCK 018522300 620.00000000 NS USD 36902.40000000 0.006542127909 Long EC US N 1 N N N CERIDIAN HCM HOLDING INC. 549300T64GVCHFJ8L449 CERIDIAN HCM HOLDING INC COMMON STOCK 15677J108 792.00000000 NS USD 89195.04000000 0.015812666942 Long EC US N 1 N N N PROG Holdings, Inc 549300DHYTLBOVRXIG52 PROG HOLDINGS INC COMMON STOCK 74319R101 832.00000000 NS USD 34952.32000000 0.006196414004 Long EC US N 1 N N N ARCBEST CORPORATION 5493006S3KBNE8ZS3J23 ARCBEST CORP COMMON STOCK 03937C105 336.00000000 NS USD 27474.72000000 0.004870770803 Long EC US N 1 N N N Washington Trust Bancorp, Inc. J66MZFCNJPP3PERHZW54 WASHINGTON TRUST BANCORP COMMON STOCK 940610108 924.00000000 NS USD 48953.52000000 0.008678573465 Long EC US N 1 N N N CABOT OIL & GAS CORPORATION FCNMH6O7VWU7LHXMK351 CABOT OIL & GAS CORP COMMON STOCK 127097103 3306.00000000 NS USD 71938.56000000 0.012753405229 Long EC US N 1 N N N CONSOLIDATED EDISON, INC. 54930033SBW53OO8T749 CONSOLIDATED EDISON INC COMMON STOCK 209115104 3086.00000000 NS USD 224012.74000000 0.039713406131 Long EC US N 1 N N N REINSURANCE GROUP OF AMERICA, INCORPORATED LORM1GNEU1DKEW527V90 REINSURANCE GROUP OF AMERICA COMMON STOCK 759351604 578.00000000 NS USD 64308.28000000 0.011400694626 Long EC US N 1 N N N SIMON PROPERTY GROUP, INC. 529900GQL5X8H7AO3T64 SIMON PROPERTY GROUP INC REIT 828806109 3706.00000000 NS USD 481668.82000000 0.085391167795 Long EC US N 1 N N N AMAZON.COM, INC. ZXTILKJKG63JELOEG630 AMAZON.COM INC COMMON STOCK 023135106 5442.00000000 NS USD 17877187.68000000 3.169301954995 Long EC US N 1 N N N Acceleron Pharma Inc 529900TQRID2UY164805 ACCELERON PHARMA INC COMMON STOCK 00434H108 123.00000000 NS USD 21168.30000000 0.003752756628 Long EC US N 1 N N N 2021-09-30 NEW COVENANT FUNDS Peter Rodriguez Peter Rodriguez CFO XXXX NPORT-EX 2 New_Covenant_Schedule_F.htm SCHEDULE F FOR VALIDATION PURPOSES ONLY - [211858.TX]

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund

 

     
Description    Shares   Market Value
    ($ Thousands)
 

COMMON STOCK — 96.7%

    

United States — 96.7%

    

Communication Services — 9.8%

 

 

Activision Blizzard Inc

     8,807         $ 681   

Alphabet Inc, Cl A *

     4,202       11,234  

Alphabet Inc, Cl C *

     3,854       10,272  

AMC Entertainment Holdings, Cl A *

     2,754       105  

AT&T Inc

     119,675       3,232  

Bandwidth Inc, Cl A *

     74       7  

Cable One Inc

     79       143  

Cardlytics Inc *

     761       64  

Cars.com Inc *

     4,178       53  

Charter Communications Inc, Cl A *

     1,268       922  

Cinemark Holdings Inc *

     4,289       82  

Clear Channel Outdoor Holdings, Cl A *

     17,605       48  

Cogent Communications Holdings Inc

     148       10  

Comcast Corp, Cl A

     53,083       2,969  

Discovery Inc, Cl C *

     354       9  

EchoStar Corp, Cl A *

     1,124       29  

Electronic Arts Inc

     2,676       381  

Emerald Holding Inc *

     4,781       21  

Eventbrite Inc, Cl A *

     2,537       48  

EverQuote Inc, Cl A *

     1,468       27  

EW Scripps Co/The, Cl A

     3,299       59  

Facebook Inc, Cl A *

     29,751       10,097  

Fox Corp, Cl A

     1,372       55  

fuboTV *

     3,908       94  

IAC *

     376       49  

IMAX Corp *

     2,244       43  

Interpublic Group of Cos Inc/The

     8,487       311  

Iridium Communications Inc *

     366       15  

John Wiley & Sons Inc, Cl A

     236       12  

Liberty Broadband Corp, Cl A *

     81       14  

Liberty Broadband Corp, Cl C *

     343       59  

Liberty Media Corp-Liberty Formula One, Cl C *

     1,355       70  

Liberty Media Corp-Liberty SiriusXM, Cl C *

     234       11  

Live Nation Entertainment Inc *

     181       16  

LiveOne Inc *

     14,750       44  

Lumen Technologies

     872       11  

Madison Square Garden Entertainment Corp *

     1,768       128  

Madison Square Garden Sports Corp *

     39       7  

Magnite Inc *

     2,551       71  

Match Group Inc *

     1,841       289  

Meredith Corp *

     1,401       78  

Netflix Inc *

     5,059       3,088  

New York Times Co/The, Cl A

     439       22  

News Corp, Cl A

     829       19  

Nexstar Media Group Inc, Cl A

     455       69  

Omnicom Group Inc

     10,137       734  

Pinterest, Cl A *

     3,339       170  

Roku Inc, Cl A *

     818       256  
     
Description    Shares      Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

     

Scholastic Corp

     1,266          $ 45   

Shenandoah Telecommunications Co

     222        7  

Sirius XM Holdings Inc

     7,153        44  

Skillz, Cl A *

     3,639        36  

Spotify Technology SA *

     1,265        285  

Take-Two Interactive Software Inc *

     830        128  

TechTarget Inc *

     1,986        164  

TEGNA Inc

     3,052        60  

T-Mobile US Inc *

     5,586        714  

TripAdvisor Inc *

     1,712        58  

Twitter Inc *

     7,369        445  

Verizon Communications Inc

     57,853        3,125  

ViacomCBS Inc, Cl B

     7,304        289  

Vimeo *

     610        18  

Walt Disney Co/The

     21,958        3,715  

World Wrestling Entertainment Inc, Cl A

     780        44  

Zillow Group Inc, Cl C *

     1,112        98  

Zynga Inc, Cl A *

     14,448        109  
     

 

 

 
        55,612  
     

 

 

 

Consumer Discretionary — 11.8%

 

  

1-800-Flowers.com Inc, Cl A *

     3,668        112  

2U Inc *

     871        29  

Aaron’s Co Inc

     416        11  

Abercrombie & Fitch Co, Cl A *

     2,970        112  

Adtalem Global Education Inc *

     1,460        55  

Advance Auto Parts Inc

     317        66  

Amazon.com Inc *

     5,442        17,877  

American Eagle Outfitters Inc

     3,416        88  

American Public Education Inc *

     1,831        47  

Aramark

     260        9  

Asbury Automotive Group Inc *

     425        84  

AutoNation Inc *

     970        118  

AutoZone Inc *

     235        399  

Bath & Body Works

     638        40  

Bed Bath & Beyond Inc *

     517        9  

Best Buy Co Inc

     14,318        1,514  

Big Lots Inc

     1,758        76  

Bloomin’ Brands Inc *

     2,259        57  

Booking Holdings Inc *

     563        1,337  

Boot Barn Holdings Inc *

     1,181        105  

BorgWarner Inc

     321        14  

Bright Horizons Family Solutions Inc *

     76        11  

Brinker International Inc *

     1,180        58  

Brunswick Corp/DE

     839        80  

Buckle Inc/The

     1,885        75  

Burlington Stores Inc *

     482        137  

Callaway Golf Co *

     2,383        66  

Canoo *

     5,091        39  

Capri Holdings Ltd *

     1,319        64  

CarMax Inc *

     1,086        139  

Carnival Corp *

     15,800        395  

Carter’s Inc

     471        46  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    1

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares     Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

 

 

Carvana Co, Cl A *

     309         $ 93   

Cavco Industries Inc *

     255       60  

Cheesecake Factory Inc/The *

     1,236       58  

Chegg Inc *

     176       12  

Children’s Place Inc/The *

     812       61  

Chipotle Mexican Grill Inc, Cl A *

     232       422  

Choice Hotels International Inc

     113       14  

Columbia Sportswear Co

     891       85  

Cracker Barrel Old Country Store Inc

     323       45  

Dana Inc

     2,660       59  

Darden Restaurants Inc

     705       107  

Dave & Buster’s Entertainment Inc *

     1,283       49  

Deckers Outdoor Corp *

     306       110  

Denny’s Corp *

     2,500       41  

Designer Brands Inc, Cl A *

     3,316       46  

Dick’s Sporting Goods Inc

     1,054       126  

Dillard’s Inc, Cl A

     726       125  

Dollar General Corp

     2,608       553  

Dollar Tree Inc *

     1,320       126  

Domino’s Pizza Inc

     309       147  

DoorDash, Cl A *

     523       108  

Dorman Products Inc *

     128       12  

DR Horton Inc

     1,973       166  

eBay Inc

     20,542       1,431  

Etsy Inc *

     1,162       242  

Expedia Group Inc *

     389       64  

Fisker *

     2,626       38  

Five Below Inc *

     410       73  

Floor & Decor Holdings Inc, Cl A *

     232       28  

Foot Locker Inc

     1,308       60  

Ford Motor Co

     32,028       454  

Fox Factory Holding Corp *

     749       108  

Frontdoor *

     251       11  

Gap Inc/The

     11,382       258  

General Motors Co *

     13,058       688  

Gentex Corp

     440       14  

Gentherm Inc *

     184       15  

Genuine Parts Co

     109       13  

Goodyear Tire & Rubber Co/The *

     989       18  

Graham Holdings Co, Cl B

     78       46  

Grand Canyon Education Inc *

     121       11  

Group 1 Automotive Inc

     86       16  

GrowGeneration *

     2,599       64  

Guess? Inc

     2,341       49  

H&R Block Inc

     3,157       79  

Hanesbrands Inc

     13,319       229  

Harley-Davidson Inc

     306       11  

Hasbro Inc

     2,632       235  

Helen of Troy Ltd *

     57       13  

Hilton Grand Vacations Inc *

     3,016       143  

Hilton Worldwide Holdings Inc *

     3,186       421  

Home Depot Inc/The

     13,012       4,271  
     
Description    Shares     Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

 

 

Hyatt Hotels Corp, Cl A *

     135         $ 10   

Installed Building Products Inc

     694       74  

iRobot Corp *

     1,013       80  

Jack in the Box Inc

     658       64  

Johnson Outdoors Inc, Cl A

     659       70  

KB Home

     4,733       184  

Kohl’s Corp

     1,859       88  

Kontoor Brands Inc

     1,282       64  

La-Z-Boy Inc, Cl Z

     1,597       51  

LCI Industries

     483       65  

Lear Corp

     6,486       1,015  

Leggett & Platt Inc

     222       10  

Lennar Corp, Cl A

     651       61  

Lennar Corp, Cl B

     728       57  

LGI Homes Inc *

     127       18  

LKQ Corp

     317       16  

Lowe’s Cos Inc

     13,635       2,766  

M/I Homes Inc *

     198       11  

Macy’s Inc

     4,042       91  

Malibu Boats Inc, Cl A *

     202       14  

Marriott International Inc/MD, Cl A *

     3,599       533  

Marriott Vacations Worldwide Corp

     394       62  

Mattel Inc *

     14,805       275  

McDonald’s Corp

     11,361       2,739  

Meritage Homes Corp *

     794       77  

Mohawk Industries Inc *

     127       23  

Monro Inc

     626       36  

Murphy USA Inc

     422       71  

National Vision Holdings Inc *

     447       25  

Newell Brands Inc

     605       13  

NIKE Inc, Cl B

     17,693       2,570  

Nordstrom Inc *

     3,866       102  

Norwegian Cruise Line Holdings Ltd *

     14,956       399  

NVR Inc *

     13       62  

Office Depot Inc *

     283       11  

Ollie’s Bargain Outlet Holdings Inc *

     212       13  

OneSpaWorld Holdings Ltd *

     3,063       31  

O’Reilly Automotive Inc *

     677       414  

Oxford Industries Inc

     665       60  

Papa John’s International Inc

     806       102  

Peloton Interactive Inc, Cl A *

     3,058       266  

Penske Automotive Group Inc

     957       96  

PetMed Express Inc

     366       10  

Planet Fitness Inc, Cl A *

     3,228       254  

Polaris Inc

     966       116  

PulteGroup Inc

     5,125       235  

PVH Corp

     108       11  

Qurate Retail Inc

     1,412       14  

Ralph Lauren Corp, Cl A

     690       77  

RealReal Inc/The *

     5,091       67  

Rent-A-Center Inc/TX, Cl A

     1,764       99  

RH *

     224       149  
 

 

2   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares     Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

 

 

Ross Stores Inc

     3,209          $ 349   

Royal Caribbean Cruises Ltd *

     8,804       783  

Sally Beauty Holdings Inc *

     2,794       47  

SeaWorld Entertainment Inc *

     251       14  

Service Corp International/US

     250       15  

Shake Shack Inc, Cl A *

     157       12  

Shutterstock Inc

     205       23  

Signet Jewelers Ltd

     2,402       190  

Six Flags Entertainment Corp *

     248       11  

Sleep Number Corp *

     1,033       97  

Stamps.com Inc *

     630       208  

Standard Motor Products Inc

     943       41  

Starbucks Corp

     16,902       1,864  

Steven Madden Ltd

     1,178       47  

Stitch Fix Inc, Cl A *

     1,021       41  

Strategic Education Inc

     331       23  

Stride Inc *

     348       13  

Tapestry Inc

     2,803       104  

Target Corp

     6,577       1,505  

Taylor Morrison Home Corp, Cl A *

     12,743       329  

Tempur Sealy International Inc

     2,272       105  

Tenneco Inc, Cl A *

     3,599       51  

Terminix Global Holdings Inc *

     303       13  

Tesla Inc *

     9,761       7,569  

Texas Roadhouse Inc, Cl A

     889       81  

Thor Industries Inc

     106       13  

TJX Cos Inc/The

     14,736       972  

Toll Brothers Inc

     2,246       124  

TopBuild Corp *

     476       98  

Tractor Supply Co

     2,377       482  

Travel + Leisure

     4,669       255  

Tri Pointe Homes *

     3,236       68  

Ulta Beauty Inc *

     279       101  

Under Armour Inc, Cl C *

     556       10  

Urban Outfitters Inc *

     417       12  

Vail Resorts Inc

     46       15  

VF Corp

     4,023       270  

Victoria’s Secret *

     212       12  

Visteon Corp *

     551       52  

Vroom *

     3,337       74  

Wayfair Inc, Cl A *

     320       82  

Wendy’s Co/The

     11,419       248  

Whirlpool Corp

     638       130  

Williams-Sonoma Inc

     160       28  

Wingstop Inc

     582       95  

Winnebago Industries Inc

     191       14  

Wolverine World Wide Inc

     1,511       45  

Workhorse Group Inc *

     4,879       37  

WW International Inc *

     1,262       23  

Wyndham Hotels & Resorts Inc

     189       15  

Yum China Holdings Inc

     1,913       111  

Yum! Brands Inc

     8,356       1,022  
     
Description    Shares     Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

 

Zumiez Inc *

     1,593         $ 63   
    

 

 

 
       66,824  
    

 

 

 

Consumer Staples — 5.0%

    

Andersons Inc/The

     1,960       60  

Archer-Daniels-Midland Co

     4,581       275  

B&G Foods Inc

     862       26  

Beyond Meat Inc *

     166       17  

BJ’s Wholesale Club Holdings Inc *

     2,099       115  

Bunge Ltd

     1,596       130  

Calavo Growers Inc

     571       22  

Campbell Soup Co

     10,354       433  

Casey’s General Stores Inc

     65       12  

Celsius Holdings *

     2,688       242  

Chefs’ Warehouse Inc/The *

     1,366       45  

Church & Dwight Co Inc

     1,025       85  

Clorox Co/The

     2,716       450  

Coca-Cola Co/The

     44,340       2,327  

Colgate-Palmolive Co

     14,526       1,098  

Conagra Brands Inc

     14,479       490  

Costco Wholesale Corp

     5,038       2,264  

Coty Inc, Cl A *

     1,026       8  

Edgewell Personal Care Co

     310       11  

Energizer Holdings Inc

     231       9  

Estee Lauder Cos Inc/The, Cl A

     2,390       717  

Flowers Foods Inc

     9,872       233  

Fresh Del Monte Produce Inc

     1,442       46  

General Mills Inc

     13,887       831  

Grocery Outlet Holding Corp *

     263       6  

Hain Celestial Group Inc/The *

     461       20  

Hershey Co/The

     2,295       388  

HF Foods Group Inc *

     2,213       13  

Hormel Foods Corp

     4,797       197  

Ingredion Inc

     1,110       99  

J M Smucker Co/The

     6,494       779  

Kellogg Co

     6,713       429  

Keurig Dr Pepper Inc

     16,196       553  

Kimberly-Clark Corp

     6,484       859  

Kraft Heinz Co/The

     1,168       43  

Kroger Co/The

     17,094       691  

Lamb Weston Holdings Inc

     594       36  

McCormick & Co Inc/MD

     5,832       473  

MedAvail Holdings *

     31,022       91  

Medifast Inc

     71       14  

Mondelez International Inc, Cl A

     17,402       1,012  

Monster Beverage Corp *

     1,999       178  

National Beverage Corp

     344       18  

PepsiCo Inc

     27,467       4,131  

Performance Food Group Co *

     1,023       48  

Pilgrim’s Pride Corp *

     355       10  

Post Holdings Inc *

     108       12  

PriceSmart Inc

     179       14  

Procter & Gamble Co/The

     29,250       4,089  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    3

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares      Market Value
($ Thousands)
 

COMMON STOCK (continued)

     

Sanderson Farms Inc

     297      $ 56  

SpartanNash Co

     1,252        27  

Spectrum Brands Holdings Inc

     183        18  

Sprouts Farmers Market Inc *

     623        14  

Sysco Corp

     17,657        1,386  

TreeHouse Foods Inc *

     237        9  

Tyson Foods Inc, Cl A

     859        68  

US Foods Holding Corp *

     2,211        77  

Walgreens Boots Alliance Inc

     8,946        421  

Walmart Inc

     16,581        2,311  
     

 

 

 
        28,536  
     

 

 

 

Energy — 2.6%

     

Altus Midstream, Cl A

     815        56  

Antero Midstream Corp

     7,912        82  

APA

     7,933        170  

Baker Hughes Co, Cl A

     4,496        111  

Cactus Inc, Cl A

     1,525        57  

Callon Petroleum *

     2,548        125  

ChampionX Corp *

     383        9  

Cheniere Energy Inc

     1,265        124  

Chevron Corp

     22,705        2,303  

Cimarex Energy Co

     995        87  

Clean Energy Fuels *

     4,579        37  

CNX Resources Corp *

     6,091        77  

ConocoPhillips

     28,962        1,963  

Continental Resources Inc/OK

     337        16  

Coterra Energy

     3,306        72  

Devon Energy Corp

     1,847        65  

Diamondback Energy Inc

     133        13  

Dril-Quip Inc *

     1,072        27  

DT Midstream

     405        19  

EOG Resources Inc

     4,528        363  

EQT Corp *

     2,732        56  

Equitrans Midstream Corp

     2,185        22  

Exxon Mobil Corp

     53,141        3,126  

Frank’s International NV *

     9,174        27  

Gevo *

     6,754        45  

Golar LNG Ltd *

     3,888        50  

Halliburton Co

     4,450        96  

Helmerich & Payne Inc

     1,494        41  

Hess Corp

     4,195        328  

HollyFrontier Corp

     3,119        103  

International Seaways Inc

     3,587        65  

Kinder Morgan Inc

     21,442        359  

Kosmos Energy Ltd *

     44,503        132  

Magnolia Oil & Gas Corp, Cl A

     3,984        71  

Marathon Oil Corp

     5,472        75  

Marathon Petroleum Corp

     7,000        433  

Murphy Oil Corp

     449        11  

Nabors Industries Ltd *

     367        35  

NOV *

     482        6  

Occidental Petroleum Corp

     8,202        243  

 

     
Description    Shares      Market Value
($ Thousands)
 

COMMON STOCK (continued)

     

Oceaneering International Inc *

     3,376      $ 45  

ONEOK Inc

     3,505        203  

Patterson-UTI Energy Inc

     4,952        45  

PBF Energy Inc, Cl A *

     3,466        45  

Phillips 66

     5,367        376  

Pioneer Natural Resources Co

     2,260        376  

Range Resources Corp *

     2,413        54  

RPC Inc *

     10,482        51  

Schlumberger NV Ltd

     39,202        1,162  

SM Energy

     5,146        136  

Southwestern Energy Co *

     21,739        120  

Targa Resources Corp

     11,252        554  

Tellurian *

     11,904        47  

Valero Energy Corp

     4,715        333  

Williams Cos Inc/The

     11,002        285  
     

 

 

 
        14,932  
     

 

 

 

Financials — 11.9%

     

Affiliated Managers Group Inc

     910        137  

Aflac Inc

     3,214        168  

AGNC Investment Corp 

     2,838        45  

Alleghany Corp *

     15        9  

Allegiance Bancshares Inc

     1,318        50  

Allstate Corp/The

     3,458        440  

Ally Financial Inc

     1,575        80  

American Express Co

     9,360        1,568  

American Financial Group Inc/OH

     449        56  

American International Group Inc

     5,725        314  

American National Group Inc

     91        17  

Ameriprise Financial Inc

     1,250        330  

Ameris Bancorp

     1,129        59  

AMERISAFE Inc

     743        42  

Annaly Capital Management Inc 

     8,922        75  

Apollo Commercial Real Estate Finance Inc 

     2,686        40  

Arch Capital Group Ltd *

     2,404        92  

Argo Group International Holdings Ltd

     750        39  

ARMOUR Residential REIT Inc 

     2,854        31  

Arthur J Gallagher & Co

     718        107  

Artisan Partners Asset Management Inc, Cl A

     1,589        78  

AssetMark Financial Holdings *

     1,796        45  

Associated Banc-Corp

     4,274        91  

Assurant Inc

     87        14  

Assured Guaranty Ltd

     994        46  

Athene Holding Ltd, Cl A *

     1,071        74  

Atlantic Union Bankshares Corp

     1,302        48  

Axis Capital Holdings Ltd

     825        38  

Axos Financial Inc *

     310        16  

BancorpSouth Bank

     1,525        45  

Bank of America Corp

     88,591        3,761  

Bank of Hawaii Corp

     1,051        86  

Bank of Marin Bancorp

     1,079        41  

Bank of New York Mellon Corp/The

     12,656        656  
 

 

4   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares     

Market Value

($ Thousands)

 

COMMON STOCK (continued)

     

Bank of NT Butterfield & Son Ltd/The

     1,324      $ 47  

Bank OZK

     366        16  

BankUnited Inc

     2,418        101  

Banner Corp

     851        47  

Berkshire Hathaway Inc, Cl B *

     22,579        6,163  

Berkshire Hills Bancorp Inc

     1,501        40  

BGC Partners Inc, Cl A

     8,389        44  

BlackRock Inc, Cl A

     1,878        1,575  

Blackstone

     6,514        758  

Blackstone Mortgage Trust Inc, Cl A 

     1,347        41  

BOK Financial Corp

     568        51  

Brighthouse Financial Inc *

     268        12  

Brown & Brown Inc

     290        16  

Camden National Corp

     1,097        52  

Capital One Financial Corp

     3,914        634  

Capitol Federal Financial Inc

     3,529        40  

Capstead Mortgage Corp 

     6,235        42  

Cathay General Bancorp

     1,291        53  

Cboe Global Markets Inc

     99        12  

Central Pacific Financial Corp

     1,651        42  

Charles Schwab Corp/The

     16,432        1,197  

Chimera Investment Corp 

     2,402        36  

Chubb Ltd

     6,169        1,070  

Cincinnati Financial Corp

     891        102  

CIT Group Inc

     1,060        55  

Citigroup Inc

     24,313        1,706  

Citizens Financial Group Inc

     2,381        112  

City Holding Co

     607        47  

CME Group Inc, Cl A

     4,726        914  

CNA Financial Corp

     253        11  

Cohen & Steers Inc

     764        64  

Comerica Inc

     1,232        99  

Commerce Bancshares Inc/MO

     1,562        109  

Community Bank System Inc

     710        49  

ConnectOne Bancorp Inc

     1,891        57  

Credit Acceptance Corp *

     177        104  

Cullen/Frost Bankers Inc

     850        101  

Dime Community Bancshares

     1,467        48  

Discover Financial Services

     11,838        1,454  

Eagle Bancorp Inc

     1,035        59  

East West Bancorp Inc

     1,710        133  

eHealth Inc *

     512        21  

Ellington Financial Inc 

     2,748        50  

Enterprise Financial Services Corp

     1,063        48  

Equitable Holdings Inc

     432        13  

Erie Indemnity Co, Cl A

     433        77  

Essent Group Ltd

     970        43  

Evercore Inc, Cl A

     659        88  

Everest Re Group Ltd

     179        45  

FactSet Research Systems Inc

     306        121  

FB Financial Corp

     1,250        54  

Federal Agricultural Mortgage Corp, Cl C

     597        65  
     
Description    Shares     

Market Value

($ Thousands)

 

COMMON STOCK (continued)

     

Federated Hermes Inc, Cl B

     1,492      $ 48  

Fidelity National Financial Inc

     1,063        48  

Fifth Third Bancorp

     4,599        195  

First American Financial Corp

     814        55  

First BanCorp/Puerto Rico

     4,571        60  

First Busey Corp

     1,790        44  

First Citizens BancShares Inc/NC, Cl A

     94        79  

First Commonwealth Financial Corp

     3,365        46  

First Financial Bancorp

     1,921        45  

First Financial Bankshares Inc

     1,378        63  

First Hawaiian Inc

     3,126        92  

First Horizon National Corp

     6,041        98  

First Merchants Corp

     1,182        49  

First Midwest Bancorp Inc/IL

     2,129        40  

First Republic Bank/CA

     831        160  

FirstCash Inc

     612        54  

FNB Corp/PA

     3,907        45  

Franklin Resources Inc

     6,856        204  

Fulton Financial Corp

     2,789        43  

Genworth Financial Inc, Cl A *

     10,439        39  

German American Bancorp Inc

     1,414        55  

Globe Life Inc

     108        10  

Goldman Sachs Group Inc/The

     3,960        1,497  

Goosehead Insurance Inc, Cl A

     215        33  

Great Western Bancorp Inc

     1,390        45  

Hancock Whitney Corp

     1,142        54  

Hannon Armstrong Sustainable Infrastructure Capital Inc

     20,833        1,114  

Hanover Insurance Group Inc/The

     124        16  

HarborOne Bancorp Inc

     4,621        65  

Hartford Financial Services Group Inc/The

     1,006        71  

Heartland Financial USA Inc

     1,003        48  

Heritage Financial Corp/WA

     1,744        44  

Home BancShares Inc/AR

     2,523        59  

HomeStreet Inc

     309        13  

Hope Bancorp Inc

     3,233        47  

Horace Mann Educators Corp

     1,125        45  

Houlihan Lokey Inc, Cl A

     192        18  

Huntington Bancshares Inc/OH

     9,540        147  

Independent Bank Corp

     580        44  

Independent Bank Group Inc

     846        60  

Intercontinental Exchange Inc

     6,879        790  

Invesco Ltd

     18,276        441  

Invesco Mortgage Capital Inc 

     3,234        10  

Investors Bancorp Inc

     4,061        61  

James River Group Holdings Ltd

     1,180        44  

Jefferies Financial Group Inc

     2,313        86  

JPMorgan Chase & Co

     35,943        5,883  

KeyCorp

     12,904        279  

Kinsale Capital Group Inc

     73        12  

KKR & Co Inc

     3,222        196  

KKR Real Estate Finance Trust Inc 

     2,440        51  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    5

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares      Market Value
($ Thousands)
 

COMMON STOCK (continued)

     

Lakeland Bancorp Inc

     2,890      $ 51  

Lazard Ltd, Cl A (A)

     2,316        106  

Lemonade *

     1,665        112  

LendingTree Inc *

     175        24  

Lincoln National Corp

     3,621        249  

Loews Corp

     222        12  

LPL Financial Holdings Inc

     1,036        162  

M&T Bank Corp

     929        139  

MarketAxess Holdings Inc

     144        61  

Marsh & McLennan Cos Inc

     16,368        2,479  

Mercury General Corp

     233        13  

Meta Financial Group Inc

     266        14  

MetLife Inc

     6,576        406  

MFA Financial Inc 

     6,337        29  

MGIC Investment Corp

     3,455        52  

Moelis & Co, Cl A

     1,564        97  

Moody’s Corp

     1,782        633  

Morgan Stanley

     32,617        3,174  

Morningstar Inc

     67        17  

Mr Cooper Group Inc *

     3,903        161  

MSCI Inc, Cl A

     635        386  

Nasdaq Inc

     2,378        459  

NBT Bancorp Inc

     1,213        44  

Nelnet Inc, Cl A

     793        63  

New Residential Investment Corp 

     14,139        155  

New York Community Bancorp Inc

     951        12  

New York Mortgage Trust Inc 

     7,776        33  

NMI Holdings Inc, Cl A *

     1,470        33  

Northern Trust Corp

     7,549        814  

Northfield Bancorp Inc

     2,868        49  

OFG Bancorp

     2,119        53  

Old National Bancorp/IN

     2,680        45  

OneMain Holdings Inc, Cl A

     258        14  

Pacific Premier Bancorp Inc

     3,188        132  

PacWest Bancorp

     1,283        58  

Palomar Holdings Inc, Cl A *

     145        12  

People’s United Financial Inc

     5,001        87  

Pinnacle Financial Partners Inc

     1,489        140  

PNC Financial Services Group Inc/The

     5,690        1,113  

PRA Group Inc *

     1,320        56  

Preferred Bank/Los Angeles CA

     845        56  

Principal Financial Group Inc

     662        43  

ProAssurance Corp

     1,351        32  

PROG Holdings Inc

     832        35  

Progressive Corp/The

     6,231        563  

Prosperity Bancshares Inc

     1,192        85  

Provident Financial Services Inc

     1,988        47  

Prudential Financial Inc

     16,015        1,685  

Radian Group Inc

     1,924        44  

Raymond James Financial Inc

     1,470        136  

Redwood Trust Inc 

     2,992        39  

Regions Financial Corp

     72,286        1,540  

 

     
Description    Shares      Market Value
($ Thousands)
 

COMMON STOCK (continued)

     

Reinsurance Group of America Inc, Cl A

     578      $ 64  

Renasant Corp

     1,366        49  

RLI Corp

     545        55  

S&P Global Inc

     6,514        2,768  

S&T Bancorp Inc

     1,247        37  

Sandy Spring Bancorp Inc

     1,350        62  

Santander Consumer USA Holdings Inc

     476        20  

Seacoast Banking Corp of Florida

     1,616        55  

Selective Insurance Group Inc

     739        56  

ServisFirst Bancshares Inc

     1,306        102  

Signature Bank/New York NY

     676        184  

Silvergate Capital, Cl A *

     716        83  

SLM Corp

     8,316        146  

SouthState

     216        16  

Starwood Property Trust Inc 

     2,000        49  

State Street Corp

     9,970        845  

Sterling Bancorp/DE

     2,321        58  

Stifel Financial Corp

     245        17  

SVB Financial Group *

     439        284  

Synchrony Financial

     4,720        231  

Synovus Financial Corp

     1,267        56  

T Rowe Price Group Inc

     2,711        533  

Texas Capital Bancshares Inc *

     822        49  

TFS Financial Corp

     573        11  

TPG RE Finance Trust Inc 

     2,439        30  

Travelers Cos Inc/The

     2,743        417  

TriCo Bancshares

     1,219        53  

TriState Capital Holdings Inc *

     1,917        40  

Triumph Bancorp Inc *

     1,296        130  

Truist Financial Corp

     14,236        835  

Trustmark Corp

     1,410        45  

Two Harbors Investment Corp 

     6,390        40  

UMB Financial Corp

     715        69  

Umpqua Holdings Corp

     2,753        56  

Univest Financial Corp

     1,820        50  

Unum Group

     1,638        41  

US Bancorp

     14,131        840  

Valley National Bancorp

     4,269        57  

Veritex Holdings Inc

     1,729        68  

Virtu Financial Inc, Cl A

     3,026        74  

W R Berkley Corp

     165        12  

Walker & Dunlop Inc

     749        85  

Washington Trust Bancorp Inc

     924        49  

Webster Financial Corp

     934        51  

Wells Fargo & Co

     47,265        2,194  

Westamerica BanCorp

     731        41  

Western Alliance Bancorp

     1,801        196  

Wintrust Financial Corp

     708        57  

Zions Bancorp NA

     1,771        110  
     

 

 

 
        67,045  
     

 

 

 

Health Care — 13.0%

     

Abbott Laboratories

     27,119        3,204  
     
 

 

6   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares       Market Value
  ($ Thousands)
 

COMMON STOCK (continued)

 

 

AbbVie Inc

     25,124         $ 2,710   

ABIOMED Inc *

     332       108  

Acadia Healthcare Co Inc *

     220       14  

Acceleron Pharma Inc *

     123       21  

Accolade *

     956       40  

AdaptHealth, Cl A *

     2,632       61  

Adaptive Biotechnologies Corp *

     1,704       58  

Adverum Biotechnologies Inc *

     4,537       10  

Aerie Pharmaceuticals Inc *

     2,282       26  

Agilent Technologies Inc

     7,874           1,240  

Agios Pharmaceuticals Inc *

     1,062       49  

Akebia Therapeutics Inc *

     1,063       3  

Alector Inc *

     2,628       60  

Align Technology Inc *

     691       460  

Allakos Inc *

     378       40  

Allogene Therapeutics Inc *

     1,838       47  

Alnylam Pharmaceuticals Inc *

     1,202       227  

Amedisys Inc *

     56       8  

American Well, Cl A *

     10,093       92  

AmerisourceBergen Corp, Cl A

     266       32  

Amgen Inc

     9,045       1,923  

Amicus Therapeutics Inc *

     5,193       50  

AMN Healthcare Services Inc *

     832       95  

Anika Therapeutics Inc *

     920       39  

Anthem Inc

     2,728       1,017  

Apellis Pharmaceuticals Inc *

     246       8  

Apollo Medical Holdings Inc *

     2,152       196  

Applied Molecular Transport *

     2,130       55  

Arcturus Therapeutics Holdings *

     483       23  

Arcus Biosciences Inc *

     2,371       83  

Arena Pharmaceuticals Inc *

     1,077       64  

Arrowhead Pharmaceuticals Inc *

     251       16  

Arvinas Inc *

     1,298       107  

Atara Biotherapeutics Inc *

     3,254       58  

Atrion Corp

     71       50  

Avanos Medical Inc *

     301       9  

Avantor Inc *

     1,656       68  

Axonics Inc *

     351       23  

Axsome Therapeutics Inc *

     618       20  

Baxter International Inc

     12,373       995  

Becton Dickinson and Co

     4,437       1,091  

BioCryst Pharmaceuticals Inc *

     5,296       76  

BioDelivery Sciences International Inc *

     7,746       28  

Biogen Inc *

     2,874       813  

Biohaven Pharmaceutical Holding Co Ltd *

     941       131  

BioMarin Pharmaceutical Inc *

     1,042       81  

Bionano Genomics *

     6,993       38  

Bio-Rad Laboratories Inc, Cl A *

     32       24  

Bio-Techne Corp

     53       26  

Bluebird Bio Inc *

     645       12  

Boston Scientific Corp *

     16,399       712  

Bridgebio Pharma Inc *

     241       11  
     
Description    Shares       Market Value
  ($ Thousands)
 

COMMON STOCK (continued)

 

 

Bristol-Myers Squibb Co

     38,732         $ 2,292   

Brookdale Senior Living Inc *

     7,397       47  

Bruker Corp

     233       18  

Cara Therapeutics Inc *

     2,942       45  

Cardinal Health Inc

     2,213       109  

CareDx *

     6,310       400  

Cassava Sciences *

     614       38  

Castle Biosciences *

     730       49  

Catalent Inc *

     949       126  

Catalyst Pharmaceuticals Inc *

     11,416       61  

Centene Corp *

     4,805       299  

Cerner Corp

     16,243           1,145  

Change Healthcare Inc *

     3,522       74  

Charles River Laboratories International Inc *

     77       32  

Chemed Corp

     114       53  

ChemoCentryx Inc *

     2,278       39  

Cigna Corp

     4,819       965  

Cooper Cos Inc/The

     236       98  

Corcept Therapeutics Inc *

     3,878       76  

CorVel Corp *

     125       23  

Covetrus Inc *

     1,045       19  

Crinetics Pharmaceuticals Inc *

     2,310       49  

CryoPort *

     871       58  

Cue Biopharma Inc *

     2,087       30  

CVS Health Corp

     28,143       2,388  

Cytokinetics Inc *

     7,134       255  

Danaher Corp

     7,191       2,189  

DaVita Inc *

     160       19  

Deciphera Pharmaceuticals Inc *

     716       24  

Denali Therapeutics Inc *

     2,631       133  

DENTSPLY SIRONA Inc

     3,113       181  

Dexcom *

     847       463  

Dicerna Pharmaceuticals Inc *

     1,898       38  

Dynavax Technologies Corp *

     8,733       168  

Editas Medicine Inc, Cl A *

     1,596       66  

Edwards Lifesciences Corp *

     8,484       960  

Elanco Animal Health Inc *

     398       13  

Eli Lilly and Co

     11,234       2,596  

Emergent BioSolutions Inc *

     950       48  

Enanta Pharmaceuticals Inc *

     785       45  

Encompass Health Corp

     164       12  

Envista Holdings Corp *

     317       13  

Epizyme Inc *

     2,749       14  

Esperion Therapeutics Inc *

     962       12  

Exact Sciences Corp *

     930       89  

Exelixis Inc *

     4,344       92  

Fate Therapeutics Inc *

     3,277       194  

FibroGen Inc *

     1,053       11  

Flexion Therapeutics Inc *

     2,711       17  

Forte Biosciences *

     61,361       182  

Fulgent Genetics *

     853       77  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    7

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares       Market Value
  ($ Thousands)

COMMON STOCK (continued)

 

 

G1 Therapeutics Inc *

     1,715         $ 23   

Gilead Sciences Inc

     18,126       1,266  

Glaukos Corp *

     167       8  

Global Blood Therapeutics Inc *

     643       16  

Globus Medical Inc, Cl A *

     179       14  

Gossamer Bio Inc *

     3,279       41  

Halozyme Therapeutics Inc *

     2,641       107  

Hanger Inc *

     1,891       42  

Harpoon Therapeutics Inc *

     720       6  

HCA Healthcare Inc

     2,314       562  

Health Catalyst Inc *

     1,594       80  

HealthEquity Inc *

     673       44  

Henry Schein Inc *

     2,612       199  

Heron Therapeutics Inc *

     1,977       21  

Heska Corp *

     69       18  

Hill-Rom Holdings Inc

     825       124  

Hologic Inc *

     927       68  

Humana Inc

     1,127       439  

ICU Medical Inc *

     62       14  

IDEXX Laboratories Inc *

     707       440  

IGM Biosciences *

     1,084       71  

Illumina Inc *

     3,200       1,298  

Inari Medical *

     1,029       83  

Incyte Corp *

     1,063       73  

Innoviva Inc *

     3,557       59  

Inogen Inc *

     706       30  

Inovalon Holdings Inc, Cl A *

     464       19  

Inovio Pharmaceuticals Inc *

     2,095       15  

Insmed Inc *

     2,129       59  

Inspire Medical Systems Inc *

     110       26  

Insulet Corp *

     65       18  

Integer Holdings Corp *

     625       56  

Integra LifeSciences Holdings Corp *

     188       13  

Intellia Therapeutics *

     1,231       165  

Intercept Pharmaceuticals Inc *

     417       6  

Intra-Cellular Therapies Inc *

     3,894       145  

Intuitive Surgical Inc *

     1,403       1,395  

Invitae Corp *

     330       9  

Ionis Pharmaceuticals Inc *

     782       26  

Iovance Biotherapeutics Inc *

     8,304       205  

IQVIA Holdings Inc *

     1,378       330  

iRhythm Technologies *

     210       12  

Ironwood Pharmaceuticals Inc, Cl A *

     3,844       50  

Johnson & Johnson

     31,839       5,142  

Kadmon Holdings *

     12,254       107  

Kala Pharmaceuticals Inc *

     7,142       19  

Karuna Therapeutics Inc *

     717       88  

Karyopharm Therapeutics Inc *

     2,929       17  

Kiniksa Pharmaceuticals Ltd, Cl A *

     4,016       46  

Kodiak Sciences Inc *

     1,218       117  

Krystal Biotech Inc *

     823       43  

Kura Oncology Inc *

     3,438       64  
     
Description    Shares       Market Value
  ($ Thousands)

COMMON STOCK (continued)

 

 

Laboratory Corp of America Holdings *

     515         $ 145   

Lantheus Holdings Inc *

     2,408       62  

LHC Group Inc *

     57       9  

Ligand Pharmaceuticals Inc *

     462       64  

MacroGenics Inc *

     1,782       37  

Madrigal Pharmaceuticals Inc *

     531       42  

McKesson Corp

     655       131  

MEDNAX Inc *

     417       12  

Merck & Co Inc

     39,446       2,963  

Meridian Bioscience Inc *

     5,130       99  

Mettler-Toledo International Inc *

     1,016       1,399  

Mirati Therapeutics Inc *

     429       76  

Moderna Inc *

     4,368       1,681  

Myriad Genetics Inc *

     1,860       60  

Natera Inc *

     229       26  

National Research Corp

     779       33  

Natus Medical Inc *

     1,614       40  

Nektar Therapeutics, Cl A *

     2,328       42  

Neogen Corp *

     300       13  

Neurocrine Biosciences Inc *

     1,089       104  

Nevro Corp *

     83       10  

NextGen Healthcare Inc *

     3,392       48  

Novavax Inc *

     816       169  

Novocure *

     224       26  

Ontrak *

     751       8  

Option Care Health Inc *

     648       16  

OraSure Technologies Inc *

     6,042       68  

Organon

     3,944       129  

Pennant Group Inc/The *

     1,609       45  

Penumbra Inc *

     72       19  

PerkinElmer Inc

     120       21  

Pfizer Inc

     73,662       3,168  

Phreesia Inc *

     361       22  

Premier Inc, Cl A

     2,266       88  

Protagonist Therapeutics *

     1,083       19  

PTC Therapeutics Inc *

     1,021       38  

Puma Biotechnology Inc *

     5,574       39  

QIAGEN NV *

     2,338       121  

Quest Diagnostics Inc

     865       126  

Reata Pharmaceuticals Inc, Cl A *

     537       54  

Regeneron Pharmaceuticals Inc *

     1,105       669  

Repligen Corp *

     553       160  

ResMed Inc

     2,930       772  

Revance Therapeutics Inc *

     3,056       85  

Rhythm Pharmaceuticals Inc *

     687       9  

Rocket Pharmaceuticals *

     932       28  

Rubius Therapeutics Inc *

     3,679       66  

Sage Therapeutics Inc *

     516       23  

Sangamo Therapeutics Inc *

     1,002       9  

Sarepta Therapeutics Inc *

     87       8  

Scholar Rock Holding Corp *

     2,520       83  

Seagen Inc *

     750       127  
 

 

8   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares   Market Value
($ Thousands)

COMMON STOCK (continued)

 

 

Senseonics Holdings *

     13,850         $ 47   

Shockwave Medical Inc *

     2,006       413  

Simulations Plus Inc

     1,477       58  

Sorrento Therapeutics Inc *

     12,406       95  

STAAR Surgical Co *

     193       25  

Stryker Corp

     3,529       931  

Supernus Pharmaceuticals Inc *

     2,174       58  

Surmodics Inc *

     1,169       65  

Syros Pharmaceuticals Inc *

     1,610       7  

Tactile Systems Technology Inc *

     728       32  

Tandem Diabetes Care Inc *

     144       17  

Teladoc Health Inc *

     399       51  

Teleflex Inc

     742       279  

TG Therapeutics Inc *

     4,916       164  

Theravance Biopharma Inc *

     2,200       16  

Thermo Fisher Scientific Inc

     4,827       2,758  

Travere Therapeutics *

     3,434       83  

Turning Point Therapeutics Inc *

     828       55  

Twist Bioscience Corp *

     606       65  

Ultragenyx Pharmaceutical Inc *

     1,143       103  

United Therapeutics Corp *

     559       103  

UnitedHealth Group Inc

     11,278       4,407  

Universal Health Services Inc, Cl B

     80       11  

UroGen Pharma Ltd *

     1,543       26  

US Physical Therapy Inc

     428       47  

Varex Imaging Corp *

     1,631       46  

VBI Vaccines Inc *

     14,663       46  

Veeva Systems Inc, Cl A *

     1,157       333  

Vertex Pharmaceuticals Inc *

     3,305       599  

Viatris Inc, Cl W *

     1,277       17  

Viking Therapeutics Inc *

     6,150       39  

Waters Corp *

     395       141  

West Pharmaceutical Services Inc

     1,875       796  

Zentalis Pharmaceuticals *

     2,422       161  

Zimmer Biomet Holdings Inc

     3,501       512  

Zoetis Inc, Cl A

     6,022       1,169  

Zogenix Inc *

     947       14  
    

 

 

 

       73,334  
    

 

 

 

Industrials — 7.7%

    

3M Co

     10,841       1,902  

A O Smith Corp

     1,708       104  

AAON Inc

     192       12  

AAR Corp *

     1,101       36  

ABM Industries Inc

     1,349       61  

ACCO Brands Corp

     5,214       45  

Acuity Brands Inc

     84       15  

ADT Inc

     6,039       49  

AECOM *

     6,633       419  

AGCO Corp

     149       18  

Air Lease Corp, Cl A

     1,053       41  

Alamo Group Inc

     86       12  

Alaska Air Group Inc *

     9,238       541  
     
Description    Shares   Market Value
($ Thousands)

COMMON STOCK (continued)

 

 

Allison Transmission Holdings Inc

     1,870         $ 66   

Altra Industrial Motion Corp

     260       14  

AMERCO

     28       18  

American Airlines Group Inc *

     405       8  

American Woodmark Corp *

     461       30  

AMETEK Inc

     1,369       170  

Apogee Enterprises Inc

     1,229       46  

Applied Industrial Technologies Inc

     745       67  

ArcBest Corp

     336       27  

Arcosa Inc

     1,128       57  

Argan Inc

     1,315       57  

Armstrong World Industries Inc

     161       15  

ASGN Inc *

     146       16  

Astec Industries Inc

     204       11  

Avis Budget Group Inc *

     2,276       265  

Axon Enterprise Inc *

     1,678       294  

AZZ Inc

     1,071       57  

Barnes Group Inc

     807       34  

Blink Charging *

     1,491       43  

Bloom Energy Corp, Cl A *

     4,597       86  

Booz Allen Hamilton Holding Corp, Cl A

     677       54  

Brady Corp, Cl A

     873       44  

Brink’s Co/The

     540       34  

Carlisle Cos Inc

     311       62  

Carrier Global Corp

     6,184       320  

CBIZ Inc *

     1,805       58  

CH Robinson Worldwide Inc

     148       13  

Chart Industries Inc *

     142       27  

Cintas Corp

     1,907       726  

CIRCOR International Inc *

     1,110       37  

Clean Harbors Inc *

     137       14  

Colfax Corp *

     1,455       67  

Comfort Systems USA Inc

     988       70  

Construction Partners Inc, Cl A *

     391       13  

Copa Holdings SA, Cl A *

     469       38  

Copart Inc *

     1,284       178  

CoStar Group Inc *

     3,260       281  

Covanta Holding Corp

     3,388       68  

Crane Co

     135       13  

CSW Industrials Inc

     116       15  

CSX Corp

     29,082       865  

Cummins Inc

     3,179       714  

Curtiss-Wright Corp

     1,789       226  

Deere & Co

     4,735       1,587  

Delta Air Lines Inc *

     35,179       1,499  

Deluxe Corp

     981       35  

Donaldson Co Inc

     202       12  

Dover Corp

     103       16  

Dycom Industries Inc *

     1,064       76  

EMCOR Group Inc

     565       65  

Emerson Electric Co

     6,592       621  

EnerSys

     664       49  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    9

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

 

     
Description    Shares    Market Value
($ Thousands)

COMMON STOCK (continued)

 

  

EnPro Industries Inc

     738      $ 64  

Equifax Inc

     535        136  

ESCO Technologies Inc

     568        44  

Expeditors International of Washington Inc

     1,163        139  

Exponent Inc

     135        15  

Fastenal Co

     1,966        101  

Federal Signal Corp

     1,560        60  

FedEx Corp

     3,239        710  

Flowserve Corp

     239        8  

Fluor Corp *

     4,373        70  

Forrester Research Inc *

     1,169        58  

Fortune Brands Home & Security Inc

     174        16  

Forward Air Corp

     144        12  

Franklin Electric Co Inc

     180        14  

FTI Consulting Inc *

     443        60  

FuelCell Energy *

     8,509        57  

Generac Holdings Inc *

     203        83  

General Electric

     11,119        1,146  

Gibraltar Industries Inc *

     164        11  

Graco Inc

     223        16  

GrafTech International Ltd

     954        10  

Granite Construction Inc

     1,780        70  

Great Lakes Dredge & Dock Corp *

     4,289        65  

Greenbrier Cos Inc/The

     1,583        68  

GXO Logistics *

     1,041        82  

Hawaiian Holdings Inc *

     1,619        35  

Healthcare Services Group Inc

     422        11  

HEICO Corp

     4,351        574  

HEICO Corp, Cl A

     3,200        379  

Helios Technologies Inc

     1,091        90  

Herc Holdings Inc

     1,012        165  

Herman Miller Inc

     1,645        62  

Hexcel Corp *

     4,105        244  

Hillenbrand Inc

     300        13  

HNI Corp

     1,268        47  

Honeywell International Inc

     10,659        2,263  

Howmet Aerospace Inc

     7,379        230  

Hubbell Inc, Cl B

     78        14  

Hyliion Holdings *

     4,149        35  

IAA Inc *

     253        14  

ICF International Inc

     545        49  

IDEX Corp

     68        14  

IHS Markit Ltd

     2,622        306  

Illinois Tool Works Inc

     10,063        2,079  

Ingersoll Rand Inc

     355        18  

Insperity Inc

     592        66  

Interface Inc, Cl A

     2,949        45  

ITT Inc

     1,404        120  

Jacobs Engineering Group Inc

     1,091        145  

JB Hunt Transport Services Inc

     437        73  

JetBlue Airways Corp *

     837        13  

John Bean Technologies Corp

     439        62  
     
Description    Shares    Market Value
($ Thousands)

COMMON STOCK (continued)

 

  

Kadant Inc

     475      $ 97  

Kaman Corp

     743        26  

Kansas City Southern

     1,741        471  

KAR Auction Services Inc *

     2,303        38  

KBR Inc

     1,640        65  

Kelly Services Inc, Cl A

     2,214        42  

Kennametal Inc

     1,343        46  

Kforce Inc

     444        26  

Kirby Corp *

     1,032        49  

Knight-Swift Transportation Holdings Inc, Cl A

     1,357        69  

Korn Ferry

     1,193        86  

Landstar System Inc

     83        13  

Lennox International Inc

     44        13  

Lincoln Electric Holdings Inc

     1,027        132  

Lindsay Corp

     91        14  

Lyft Inc, Cl A *

     240        13  

ManpowerGroup Inc

     3,586        388  

Marten Transport Ltd

     3,469        54  

Masco Corp

     6,315        351  

Matson Inc

     1,273        103  

Maxar Technologies Inc

     10,873        308  

McGrath RentCorp

     666        48  

Mercury Systems Inc *

     4,897        232  

Meritor Inc *

     2,088        44  

Middleby Corp/The *

     103        18  

Moog Inc, Cl A

     3,238        247  

MRC Global Inc *

     3,597        26  

MSA Safety Inc

     392        57  

MSC Industrial Direct Co Inc, Cl A

     1,115        89  

Nordson Corp

     600        143  

Norfolk Southern Corp

     2,628        629  

NOW Inc *

     4,359        33  

NV5 Global Inc *

     202        20  

Old Dominion Freight Line Inc

     374        107  

Omega Flex Inc

     70        10  

Oshkosh Corp

     2,762        283  

Otis Worldwide Corp

     2,457        202  

Owens Corning

     4,958        424  

PACCAR Inc

     1,403        111  

PAE *

     5,932        35  

Parker-Hannifin Corp

     1,231        344  

Parsons Corp *

     1,198        40  

Pitney Bowes Inc

     11,792        85  

Plug Power Inc *

     4,368        112  

Proto Labs Inc *

     91        6  

Quanta Services Inc

     2,291        261  

Raven Industries Inc

     1,437        83  

RBC Bearings Inc *

     320        68  

Regal Rexnord

     1,068        161  

Republic Services Inc, Cl A

     599        72  

Resideo Technologies Inc *

     448        11  
 

 

10   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares    Market Value
($ Thousands)

COMMON STOCK (continued)

 

Robert Half International Inc

     806      $ 81  

Rockwell Automation Inc

     1,620        476  

Rollins Inc

     3,532        125  

Roper Technologies Inc

     745        332  

Ryder System Inc

     1,425        118  

Saia Inc *

     96        23  

Schneider National Inc, Cl B

     521        12  

Shoals Technologies Group, Cl A *

     3,675        102  

Shyft Group Inc/The

     429        16  

Simpson Manufacturing Co Inc

     643        69  

Snap-on Inc

     318        66  

Southwest Airlines Co *

     3,222        166  

SP Plus Corp *

     1,169        36  

Spirit AeroSystems Holdings Inc, Cl A

     9,098        402  

Spirit Airlines Inc *

     1,221        32  

SPX Corp *

     999        53  

SPX FLOW Inc

     203        15  

Stanley Black & Decker Inc

     1,349        236  

Steelcase Inc, Cl A

     2,620        33  

Stericycle Inc *

     179        12  

Sunrun Inc *

     1,979        87  

Team *

     20,250        61  

Tennant Co

     639        47  

Terex Corp

     341        14  

Tetra Tech Inc

     564        84  

Timken Co/The

     204        13  

Toro Co/The

     1,175        114  

TPI Composites Inc *

     472        16  

TransDigm Group Inc *

     1,492        932  

TransUnion

     135        15  

Trex Co Inc *

     1,134        116  

Trinity Industries Inc

     511        14  

Triumph Group Inc *

     1,853        35  

TrueBlue Inc *

     2,106        57  

Uber Technologies Inc *

     15,289        685  

UFP Industries Inc

     196        13  

UniFirst Corp/MA

     235        50  

Union Pacific Corp

     11,000        2,156  

United Airlines Holdings Inc *

     289        14  

United Parcel Service Inc, Cl B

     7,862        1,432  

United Rentals Inc *

     1,692        594  

Univar Solutions Inc *

     476        11  

US Ecology Inc *

     900        29  

Valmont Industries Inc

     76        18  

Verisk Analytics Inc, Cl A

     1,729        346  

Virgin Galactic Holdings Inc *

     6,746        171  

Wabash National Corp

     3,217        49  

Waste Management Inc

     6,467        966  

Watsco Inc

     52        14  

Watts Water Technologies Inc, Cl A

     507        85  

Welbilt Inc *

     3,137        73  

WESCO International Inc *

     3,661        422  
     
Description    Shares      Market Value
($ Thousands)

COMMON STOCK (continued)

 

Westinghouse Air Brake Technologies Corp

     465      $ 40   

WillScot Mobile Mini Holdings Corp, Cl A *

     590        19  

Woodward Inc

     139        16  

WW Grainger Inc

     3,615        1,421  

XPO Logistics Inc *

     1,041        83  

Xylem Inc/NY

     13,846        1,712  
     

 

 

 

        43,648  
     

 

 

 

Information Technology — 26.8%

 

  

8x8 Inc *

     2,725        64  

ACI Worldwide Inc *

     1,373        42  

Adobe Inc *

     8,432        4,855  

ADTRAN Inc

     979        18  

Advanced Energy Industries Inc

     725        64  

Advanced Micro Devices Inc *

     14,318        1,473  

Agilysys Inc *

     323        17  

Akamai Technologies Inc *

     7,949        831  

Akoustis Technologies Inc *

     2,669        26  

Alarm.com Holdings Inc *

     1,192        93  

Alliance Data Systems Corp

     1,335        135  

Altair Engineering Inc, Cl A *

     269        19  

Alteryx Inc, Cl A *

     635        46  

Ambarella Inc *

     160        25  

Amdocs Ltd

     3,632        275  

Amkor Technology Inc

     3,864        96  

Amphenol Corp, Cl A

     4,016        294  

Analog Devices Inc

     5,627        942  

Anaplan Inc *

     217        13  

ANSYS Inc *

     683        233  

Appian Corp, Cl A *

     1,246        115  

Apple Inc

     199,628        28,247  

Applied Materials Inc

     10,761        1,385  

Arista Networks Inc *

     768        264  

Arrow Electronics Inc *

     2,550        286  

Aspen Technology Inc *

     413        51  

Autodesk Inc *

     3,559        1,015  

Automatic Data Processing Inc

     12,646        2,528  

Avaya Holdings Corp *

     4,140        82  

Avnet Inc

     325        12  

Axcelis Technologies Inc *

     2,104        99  

Badger Meter Inc

     775        78  

Belden Inc

     900        52  

Benchmark Electronics Inc

     1,447        39  

Bill.com Holdings Inc *

     1,644        439  

Black Knight Inc *

     1,569        113  

Blackbaud Inc *

     629        44  

Blackline Inc *

     185        22  

Bottomline Technologies DE Inc *

     943        37  

Box Inc, Cl A *

     539        13  

Broadcom Inc

     4,587        2,224  

Broadridge Financial Solutions Inc

     720        120  

Brooks Automation Inc

     207        21  

Cadence Design Systems Inc *

     2,046        310  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    11

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

 

     
Description    Shares    Market Value
($ Thousands)

COMMON STOCK (continued)

 

Cass Information Systems Inc

     865      $ 36   

CDK Global Inc

     1,636        70  

CDW Corp/DE

     806        147  

Cerence Inc *

     493        47  

Ceridian HCM Holding Inc *

     792        89  

Ciena Corp *

     1,223        63  

Cirrus Logic Inc *

     640        53  

Cisco Systems Inc

     64,863        3,530  

Citrix Systems Inc

     100        11  

Cloudera Inc *

     4,481        72  

Cloudflare, Cl A *

     1,190        134  

CMC Materials

     373        46  

Cognex Corp

     203        16  

Cognizant Technology Solutions Corp, Cl A

     8,315        617  

Coherent Inc *

     626        157  

Cohu Inc *

     2,351        75  

CommScope Holding Co Inc *

     7,086        96  

CommVault Systems Inc *

     219        17  

Concentrix

     387        69  

Cornerstone OnDemand Inc *

     862        49  

Corning Inc

     6,104        223  

Coupa Software Inc *

     970        213  

Cree Inc *

     248        20  

Crowdstrike Holdings Inc, Cl A *

     1,523        374  

CSG Systems International Inc

     965        47  

CTS Corp

     1,735        54  

Datadog Inc, Cl A *

     939        133  

Dell Technologies Inc, Cl C *

     4,108        427  

Diebold Nixdorf Inc *

     4,695        47  

Digital Turbine Inc *

     4,674        321  

DocuSign Inc, Cl A *

     1,618        417  

Dolby Laboratories Inc, Cl A

     731        64  

Domo Inc, Cl B *

     297        25  

Dropbox Inc, Cl A *

     2,914        85  

DXC Technology Co *

     5,395        181  

Dynatrace Inc *

     465        33  

Ebix Inc

     299        8  

Elastic NV *

     183        27  

Enphase Energy Inc *

     2,963        444  

Entegris Inc

     980        123  

Envestnet Inc *

     717        58  

EPAM Systems Inc *

     1,434        818  

Euronet Worldwide Inc *

     74        9  

Everbridge Inc *

     1,814        274  

EVERTEC Inc

     1,569        72  

ExlService Holdings Inc *

     136        17  

Extreme Networks Inc *

     6,878        68  

F5 Networks Inc *

     578        115  

Fair Isaac Corp *

     299        119  

Fastly Inc, Cl A *

     905        37  

Fidelity National Information Services Inc

     7,874        958  

FireEye Inc *

     5,502        98  
     
Description    Shares      Market Value
  ($ Thousands)

COMMON STOCK (continued)

 

First Solar Inc *

     3,538      $ 338   

Fiserv Inc *

     5,664        615  

Five9 Inc *

     93        15  

FleetCor Technologies Inc *

     277        72  

FormFactor Inc *

     353        13  

Fortinet Inc *

     907        265  

Gartner *

     159        48  

Genpact Ltd

     6,870        326  

Global Payments Inc

     2,965        467  

Globant SA *

     271        76  

GoDaddy Inc, Cl A *

     1,102        77  

Guidewire Software Inc *

     109        13  

Hackett Group Inc/The

     3,129        61  

HubSpot Inc *

     322        218  

Ichor Holdings Ltd *

     486        20  

II-VI Inc *

     224        13  

Infinera Corp *

     6,579        55  

Inseego Corp *

     7,132        48  

Insight Enterprises Inc *

     132        12  

Intel Corp

     53,557        2,853  

Intelligent Systems Corp *

     1,128        46  

InterDigital Inc

     917        62  

International Business Machines Corp

     13,123        1,823  

Intuit Inc

     3,714        2,004  

IPG Photonics Corp *

     558        88  

Itron Inc *

     588        45  

J2 Global Inc *

     540        74  

Jabil Inc

     6,948        406  

Jack Henry & Associates Inc

     636        104  

Juniper Networks Inc

     7,826        215  

Keysight Technologies Inc *

     11,074        1,819  

KLA Corp

     1,904        637  

Knowles Corp *

     2,314        43  

Lam Research Corp

     3,493        1,988  

Lattice Semiconductor Corp *

     369        24  

Littelfuse Inc

     60        16  

Lumentum Holdings Inc *

     660        55  

Manhattan Associates Inc *

     1,278        196  

Marathon Digital Holdings *

     3,468        110  

Marvell Technology

     6,584        397  

Mastercard Inc, Cl A

     12,405        4,313  

Maximus

     682        57  

Medallia Inc *

     1,562        53  

Microchip Technology Inc

     1,641        252  

Micron Technology Inc

     10,634        755  

Microsoft Corp

     101,033        28,483  

MicroStrategy Inc, Cl A *

     69        40  

MicroVision *

     2,858        32  

MKS Instruments Inc

     103        16  

MongoDB Inc, Cl A *

     574        271  

Monolithic Power Systems Inc

     64        31  

N-Able *

     317        4  
 

 

12   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares      Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

National Instruments Corp

     2,353      $ 92  

NCR Corp *

     334        13  

NetApp Inc

     2,936        264  

NetScout Systems Inc *

     2,073        56  

NortonLifeLock Inc

     13,065        331  

Novanta Inc *

     98        15  

Nuance Communications Inc *

     2,832        156  

Nutanix Inc, Cl A *

     359        14  

NVIDIA Corp

     37,360                7,740  

NXP Semiconductors NV

     2,171        425  

Okta Inc, Cl A *

     812        193  

ON Semiconductor Corp *

     9,649        442  

Oracle Corp

     24,339        2,121  

OSI Systems Inc *

     497        47  

PagerDuty Inc *

     1,821        75  

Palantir Technologies, Cl A *

     12,031        289  

Palo Alto Networks Inc *

     675        323  

Paychex Inc

     2,612        294  

Paycom Software Inc *

     194        96  

Paylocity Holding Corp *

     417        117  

PayPal Holdings Inc *

     16,718        4,350  

Pegasystems Inc

     150        19  

Perficient Inc *

     1,142        132  

Photronics Inc *

     3,197        44  

Plantronics Inc *

     1,930        50  

Power Integrations Inc

     196        19  

Priority Technology Holdings *

     10,659        71  

Progress Software Corp

     1,206        59  

PROS Holdings Inc *

     818        29  

PTC Inc *

     677        81  

Pure Storage Inc, Cl A *

     685        17  

Qorvo Inc *

     100        17  

QUALCOMM Inc

     17,833        2,300  

Qualys Inc *

     591        66  

Rambus Inc *

     3,633        81  

Rapid7 Inc *

     892        101  

RingCentral Inc, Cl A *

     699        152  

Riot Blockchain *

     3,379        87  

Rogers Corp *

     392        73  

Sabre Corp *

     506        6  

salesforce.com Inc *

     17,125        4,645  

Sanmina Corp *

     1,459        56  

ScanSource Inc *

     1,292        45  

Semtech Corp *

     1,000        78  

ServiceNow Inc *

     2,243        1,396  

Silicon Laboratories Inc *

     437        61  

Skyworks Solutions Inc

     747        123  

Smartsheet Inc, Cl A *

     266        18  

Snowflake, Cl A *

     1,591        481  

SolarWinds

     317        5  

Splunk Inc *

     1,357        196  

Sprout Social, Cl A *

     832        101  
     
Description    Shares    Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

SPS Commerce Inc *

     152      $ 25  

Square Inc, Cl A *

     4,127        990  

Switch Inc, Cl A

     779        20  

Synaptics Inc *

     142        25  

SYNNEX Corp

     387        40  

Synopsys Inc *

     1,083        324  

Teledyne Technologies Inc *

     997        428  

Teradata Corp *

     4,437        254  

Teradyne Inc

     4,784        522  

Texas Instruments Inc

     13,483        2,592  

Trade Desk Inc/The, Cl A *

     8,290        583  

Trimble Inc *

     2,035        167  

TTEC Holdings Inc

     202        19  

Tucows Inc, Cl A *

     170        13  

Twilio Inc, Cl A *

     2,168        692  

Tyler Technologies Inc *

     393        180  

Ubiquiti Inc

     48        14  

Unisys Corp *

     689        17  

Universal Display Corp

     521        89  

Upland Software Inc *

     255        9  

Varonis Systems Inc, Cl B *

     327        20  

Verint Systems Inc *

     947        42  

VeriSign Inc *

     802        164  

Verra Mobility Corp, Cl A *

     3,479        52  

ViaSat Inc *

     693        38  

Viavi Solutions Inc *

     3,355        53  

Visa Inc, Cl A

     21,522        4,794  

VMware Inc, Cl A *

     1,343        200  

Western Digital Corp *

     2,423        137  

Western Union Co/The

     425        9  

WEX Inc *

     55        10  

Workday Inc, Cl A *

     2,079        520  

Workiva Inc, Cl A *

     1,224        173  

Xerox Holdings Corp

     4,697        95  

Xilinx Inc

     2,632        397  

Xperi Holding Corp

     2,351        44  

Zebra Technologies Corp, Cl A *

     438        226  

Zendesk Inc *

     152        18  

Zoom Video Communications Inc, Cl A *

     2,001        523  

Zscaler Inc *

     786        206  

Zuora Inc, Cl A *

     3,498        58  
     

 

 

 

        151,368  
     

 

 

 

Materials — 2.5%

     

Air Products and Chemicals Inc

     4,688        1,201  

Albemarle Corp

     384        84  

Alcoa Corp *

     5,657        277  

Allegheny Technologies Inc *

     2,362        39  

AptarGroup Inc

     1,944        232  

Arconic Corp *

     1,844        58  

Ashland Global Holdings Inc

     152        14  

Avery Dennison Corp

     88        18  

Axalta Coating Systems Ltd *

     7,963        232  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    13

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares      Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

Balchem Corp

     107      $ 16  

Ball Corp

     14,154        1,273  

Berry Global Group Inc *

     4,123        251  

Cabot Corp

     238        12  

Carpenter Technology Corp

     1,006        33  

Celanese Corp, Cl A

     93        14  

CF Industries Holdings Inc

     1,066        60  

Chemours Co/The

     2,832        82  

Cleveland-Cliffs Inc *

     11,888        236  

Coeur Mining Inc *

     6,945        43  

Compass Minerals International Inc

     851        55  

Corteva Inc

     2,736        115  

Crown Holdings Inc

     6,925        698  

Domtar Corp *

     298        16  

Dow Inc

     6,392        368  

DuPont de Nemours Inc

     3,772        256  

Eagle Materials Inc

     126        17  

Eastman Chemical Co

     9,101        917  

Ecolab Inc

     2,293        478  

FMC Corp

     2,400        220  

Freeport-McMoRan Inc

     27,003        878  

Graphic Packaging Holding Co

     681        13  

Greif Inc, Cl A

     1,122        72  

HB Fuller Co

     976        63  

Huntsman Corp

     475        14  

Ingevity Corp *

     563        40  

Innospec Inc

     499        42  

International Flavors & Fragrances Inc

     2,307        308  

International Paper Co

     360        20  

Kraton Corp *

     2,033        93  

Livent Corp *

     5,807        134  

Louisiana-Pacific Corp

     1,740        107  

LyondellBasell Industries NV, Cl A

     2,182        205  

Martin Marietta Materials Inc

     397        136  

Minerals Technologies Inc

     182        13  

Mosaic Co/The

     3,590        128  

Neenah Inc

     693        32  

Newmont Corp

     21,956                1,192  

Novagold Resources Inc *

     1,266        9  

Nucor Corp

     1,510        149  

Packaging Corp of America

     101        14  

PPG Industries Inc

     2,274        325  

Quaker Chemical Corp

     55        13  

Reliance Steel & Aluminum Co

     412        59  

Scotts Miracle-Gro Co/The

     163        24  

Sealed Air Corp

     293        16  

Sensient Technologies Corp

     161        15  

Sherwin-Williams Co/The

     5,279        1,477  

Sonoco Products Co

     185        11  

Southern Copper Corp

     272        15  

Steel Dynamics Inc

     2,648        155  

Stepan Co

     138        16  
     
Description    Shares      Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

Summit Materials Inc, Cl A *

     2,136      $ 68  

TriMas Corp

     1,583        51  

Trinseo SA

     1,345        73  

United States Lime & Minerals Inc

     98        12  

United States Steel Corp

     3,709        81  

Valvoline Inc

     11,216        350  

Verso Corp

     2,760        57  

Vulcan Materials Co

     665        112  

Warrior Met Coal Inc

     2,378        55  

Westlake Chemical Corp

     137        12  

Westrock Co

     3,989        199  

Worthington Industries Inc

     1,149        61  
     

 

 

 

                    14,234  
     

 

 

 

Real Estate — 3.5%

     

Acadia Realty Trust 

     1,946        40  

Agree Realty Corp 

     736        49  

Alexander & Baldwin Inc 

     2,342        55  

Alexandria Real Estate Equities Inc 

     1,497        286  

American Campus Communities Inc 

     252        12  

American Finance Trust Inc 

     3,743        30  

American Homes 4 Rent, Cl A 

     375        14  

American Tower Corp, Cl A 

     5,189        1,377  

Apartment Income REIT 

     304        15  

Apartment Investment and Management, Cl A 

     1,711        12  

Apple Hospitality REIT Inc 

     718        11  

AvalonBay Communities Inc 

     3,261        723  

Boston Properties Inc 

     1,468        159  

Brandywine Realty Trust 

     14,492        195  

Brixmor Property Group Inc 

     4,703        104  

Camden Property Trust 

     125        18  

CareTrust REIT Inc 

     2,438        50  

CBRE Group Inc, Cl A *

     20,326        1,979  

Columbia Property Trust Inc 

     565        11  

Community Healthcare Trust Inc 

     1,136        51  

Corporate Office Properties Trust 

     7,752        209  

Cousins Properties Inc 

     289        11  

Crown Castle International Corp 

     4,174        723  

CubeSmart

     377        18  

CyrusOne Inc 

     181        14  

DiamondRock Hospitality Co *

     4,575        43  

Digital Realty Trust Inc 

     2,674        386  

Diversified Healthcare Trust 

     6,702        23  

Douglas Emmett Inc 

     448        14  

Duke Realty Corp 

     2,798        134  

Empire State Realty Trust Inc, Cl A 

     5,592        56  

EPR Properties 

     735        36  

Equinix Inc 

     1,035        818  

Equity Commonwealth *

     846        22  

Equity LifeStyle Properties Inc 

     167        13  

Equity Residential 

     3,485        282  

Essential Properties Realty Trust Inc 

     2,028        57  
 

 

14   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares      Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

Essex Property Trust Inc 

     454      $ 145  

eXp World Holdings

     2,641        105  

Extra Space Storage Inc 

     811        136  

Federal Realty Investment Trust 

     664        78  

First Industrial Realty Trust Inc 

     263        14  

Four Corners Property Trust Inc 

     1,848        50  

Franklin Street Properties Corp 

     5,897        27  

Gaming and Leisure Properties Inc 

     283        13  

Global Net Lease Inc 

     2,484        40  

Healthcare Trust of America Inc, Cl A 

     392        12  

Healthpeak Properties Inc 

     9,384        314  

Highwoods Properties Inc 

     247        11  

Host Hotels & Resorts Inc *

     17,568        287  

Howard Hughes Corp/The *

     795        70  

Hudson Pacific Properties Inc 

     2,475        65  

Industrial Logistics Properties Trust 

     2,389        61  

Innovative Industrial Properties, Cl A 

     275        64  

Invitation Homes Inc 

     398        15  

Iron Mountain Inc 

     5,996        261  

JBG SMITH Properties 

     2,065        61  

Jones Lang LaSalle Inc *

     1,270        315  

Kilroy Realty Corp 

     4,516        299  

Kimco Realty Corp 

     5,716        119  

Kite Realty Group Trust 

     2,741        56  

Lamar Advertising Co, Cl A 

     1,059        120  

Lexington Realty Trust 

     4,761        61  

Life Storage Inc 

     165        19  

LTC Properties Inc 

     1,142        36  

Macerich Co/The 

     5,508        92  

Marcus & Millichap Inc *

     1,380        56  

Medical Properties Trust Inc 

     2,513        50  

Mid-America Apartment Communities Inc 

     97        18  

Monmouth Real Estate Investment Corp 

     3,365        63  

National Health Investors Inc 

     635        34  

Newmark Group Inc, Cl A

     3,753        54  

Office Properties Income Trust 

     1,618        41  

Omega Healthcare Investors Inc 

     1,229        37  

Outfront Media Inc 

     1,951        49  

Paramount Group Inc 

     5,922        53  

Park Hotels & Resorts Inc *

     1,996        38  

Pebblebrook Hotel Trust 

     1,899        43  

Physicians Realty Trust 

     2,753        49  

Piedmont Office Realty Trust Inc, Cl A 

     2,333        41  

PotlatchDeltic Corp 

     231        12  

Prologis Inc 

     20,608                2,585  

Public Storage 

     1,177        350  

Rayonier Inc 

     1,593        57  

RE/MAX Holdings Inc, Cl A

     1,292        40  

Realogy Holdings Corp *

     4,621        81  

Realty Income Corp 

     1,039        67  

Redfin Corp *

     458        23  

Regency Centers Corp 

     23,989        1,615  
     
Description    Shares      Market Value
    ($ Thousands)

COMMON STOCK (continued)

     

Retail Properties of America Inc, Cl A 

     876      $ 11  

Rexford Industrial Realty Inc 

     241        14  

RLJ Lodging Trust 

     2,849        42  

RMR Group Inc/The, Cl A

     1,095        37  

RPT Realty 

     3,429        44  

Ryman Hospitality Properties Inc *

     577        48  

Sabra Health Care REIT Inc 

     2,410        35  

Safehold Inc 

     226        16  

SBA Communications Corp, Cl A 

     684        226  

Service Properties Trust 

     483        5  

Simon Property Group Inc 

     3,706        482  

SITE Centers Corp 

     3,734        58  

SL Green Realty 

     2,472        175  

Spirit Realty Capital Inc 

     237        11  

St Joe Co/The

     460        19  

STAG Industrial Inc 

     359        14  

STORE Capital Corp 

     2,555        82  

Summit Hotel Properties Inc *

     4,173        40  

Tanger Factory Outlet Centers Inc 

     3,357        55  

UDR Inc 

     250        13  

Uniti Group Inc 

     1,247        15  

Urban Edge Properties 

     2,679        49  

Urstadt Biddle Properties Inc, Cl A 

     2,126        40  

Ventas Inc 

     3,279        181  

VEREIT Inc 

     2,043        92  

VICI Properties Inc 

     2,012        57  

Vornado Realty Trust 

     2,903        122  

Washington Real Estate Investment Trust 

     1,705        42  

Welltower Inc 

     4,270        352  

Weyerhaeuser Co 

     17,005        605  

WP Carey Inc 

     149        11  

Xenia Hotels & Resorts Inc *

     2,347        42  
     

 

 

 

                    19,487  
     

 

 

 

Utilities — 2.1%

     

AES Corp/The

     5,282        121  

ALLETE Inc

     620        37  

Alliant Energy Corp

     213        12  

Ameren Corp

     506        41  

American Electric Power Co Inc

     5,930        481  

American States Water Co

     580        50  

American Water Works Co Inc

     2,717        459  

Atmos Energy Corp

     461        41  

Avangrid Inc

     1,720        84  

CenterPoint Energy Inc

     434        11  

Clearway Energy Inc, Cl C

     456        14  

CMS Energy Corp

     20,708        1,237  

Consolidated Edison Inc

     3,086        224  

Dominion Energy Inc

     7,027        513  

DTE Energy Co

     811        91  

Duke Energy Corp

     7,493        731  

Edison International

     3,288        182  

Entergy Corp

     2,276        226  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021    15

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Continued)

 

     
Description    Shares   Market Value
    ($ Thousands)
 

COMMON STOCK (continued)

    

Essential Utilities Inc

     331         $ 15   

Evergy Inc

     180       11  

Eversource Energy

     10,983       898  

Exelon Corp

     11,090       536  

FirstEnergy Corp

     419       15  

Hawaiian Electric Industries Inc

     249       10  

IDACORP Inc

     108       11  

MDU Resources Group Inc

     386       11  

MGE Energy Inc

     631       46  

National Fuel Gas Co

     245       13  

New Jersey Resources Corp

     1,111       39  

NextEra Energy Inc

     27,072       2,126  

NiSource Inc

     419       10  

Northwest Natural Holding Co

     699       32  

NRG Energy Inc

     323       13  

OGE Energy Corp

     261       9  

Ormat Technologies Inc

     644       43  

PG&E Corp *

     692       7  

Pinnacle West Capital Corp

     2,640       191  

PNM Resources Inc

     975       48  

Portland General Electric Co

     894       42  

PPL Corp

     908       25  

Public Service Enterprise Group Inc

     5,257       320  

Sempra Energy

     2,048       259  

SJW Group

     716       47  

South Jersey Industries Inc

     1,556       33  

Southern Co/The

     13,370       828  

Sunnova Energy International Inc *

     4,480       148  

UGI Corp

     253       11  

Vistra Corp

     2,088       36  

WEC Energy Group Inc

     1,160       102  

Xcel Energy Inc

     21,147       1,322  
    

 

 

 
       11,812  
    

 

 

 

Total Common Stock
(Cost $281,146) ($ Thousands)

 

        546,832  
    

 

 

 

FOREIGN COMMON STOCK — 2.3%

 

Bosnia and Herzegovina — 0.0%

 

RenaissanceRe Holdings Ltd

     248       35  
    

 

 

 

Canada — 0.1%

    

Lululemon Athletica Inc*

     1,171       474  
    

 

 

 

Cayman Islands — 0.0%

    

Herbalife Nutrition Ltd*

     1,088       46  
    

 

 

 

Ireland — 1.1%

    

Accenture PLC, Cl A

     11,297       3,614  

Jazz Pharmaceuticals PLC *

     616       80  

Medtronic PLC

     19,976       2,504  

Perrigo Co PLC

     211       10  
    

 

 

 
       6,208  
     
Description    Shares   Market Value
    ($ Thousands)

FOREIGN COMMON STOCK (continued)

 

Puerto Rico — 0.0%

 

 

Popular Inc

     1,507         $ 117   
    

 

 

 

Switzerland — 0.0%

    

Garmin Ltd

     418       65  
    

 

 

 

United Kingdom — 1.1%

 

 

Adient PLC *

     732       30  

Alkermes PLC *

     2,433       75  

Allegion PLC

     855       113  

Amcor PLC

     4,821       56  

Aon PLC, Cl A

     2,247       642  

Aptiv PLC *

     3,490       520  

Atlassian Corp PLC, Cl A *

     1,043       408  

Cimpress PLC *

     398       35  

Cushman & Wakefield PLC *

     2,593       48  

Eaton Corp PLC

     13,217       1,974  

Gates Industrial Corp PLC *

     886       14  

Horizon Therapeutics PLC *

     1,437       157  

Johnson Controls International PLC

     8,308       566  

LivaNova PLC *

     657       52  

Nielsen Holdings PLC

     7,584       145  

nVent Electric PLC

     457       15  

Pentair PLC

     245       18  

Sensata Technologies Holding PLC *

     4,273       234  

STERIS PLC

     1,716       351  

Trane Technologies PLC

     1,779       307  

Tronox Holdings PLC

     4,385       108  

Willis Towers Watson PLC

     907       211  
    

 

 

 

       6,079  
    

 

 

 

Total Foreign Common Stock
(Cost $6,435) ($ Thousands)

           13,024  
    

 

 

 

CASH EQUIVALENT — 0.2%

 

 

SEI Daily Income Trust, Government Fund, Cl F

    

0.010%**

     1,431,888         1,432  
    

 

 

 

Total Cash Equivalent
(Cost $1,432) ($ Thousands)

       1,432  
    

 

 

 

Total Investments in Securities — 99.2%
(Cost $289,013) ($ Thousands)

 

      $ 561,288  
    

 

 

 

 

 

16   New Covenant Funds/ Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Growth Fund (Concluded)

 

A list of the open futures held by the Fund at September 30, 2021 are as follows:

 

           
Type of Contract         Number of
      Contracts
     Expiration
Date
    

Notional Amount

(Thousands)

    

Value

(Thousands)

    

Unrealized Depreciation

(Thousands)

 

Long Contracts

              

Russell 2000 Index E-MINI

            Dec-2021      $ 223          $ 220          $ (3 )   

S&P 500 Index E-MINI

            Dec-2021        1,329            1,289            (40 )    
        

 

 

    

 

 

    

 

 

 
         $     1,552          $         1,509          $ (43
        

 

 

    

 

 

    

 

 

 

The futures contracts are considered to have equity rate risk associated with them.

 

Percentages are based on Net Assets of $565,687 ($ Thousands).

 

Investment in Affiliated Security.

 

Real Estate Investment Trust.

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of September 30, 2021.

(A)

Security is a Master Limited Partnership. At September 30, 2021, such securities amounted to $106 ($ Thousands), or 0.0% of the Net Assets of the Fund.

Cl — Class

Ltd — Limited

MSCI — Morgan Stanley Capital International

PLC — Public Limited Company

REIT — Real Estate investment Trust

S&P— Standard & Poor’s

The following is a list of the level of inputs used as of September 30, 2021, in valuing the Fund’s investments and other financial instruments carried at value ($ Thousands).

Investments in
Securities
  

    Level 1    

($)

        Level 2    
($)
         Level 3    
($)
    

    Total    

($)

 

Common Stock

     546,832       –          –          546,832  

Foreign Common Stock

     13,024       –          –          13,024  

Cash Equivalent

     1,432       –          –          1,432  
  

 

 

   

 

 

    

 

 

    

 

 

 

Total Investments in Securities

     561,288       –          –          561,288  
  

 

 

   

 

 

    

 

 

    

 

 

 
          
Other Financial
Instruments
  

    Level 1    

($)

   

    Level 2    

($)

    

    Level 3    

($)

    

    Total    

($)

 

Futures Contracts*

          

Unrealized Depreciation

     (43     –          –          (43
  

 

 

   

 

 

    

 

 

    

 

 

 

Total Other Financial Instruments

     (43     –          –          (43
  

 

 

   

 

 

    

 

 

    

 

 

 

*Futures contracts are valued at the unrealized depreciation on the instrument.

For the period ended September 30, 2021, there were no transfers in or out of Level 3.

For information regarding the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

 

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2021 ($ Thousands):

 

Security Description   Value at
6/30/2021
  Purchases at Cost   Proceeds from
Sales
  Realized Gain/
(Loss)
  Change in
Unrealized
Appreciation
(Depreciation)
  Value
9/30/2021
  Shares   Dividend Income   Capital Gains

SEI Daily Income Trust, Government Fund, Cl F

  $7,003   $12,755   $(18,326)   $ —   $ —   $1,432   1,431,888   $ —   $ —
 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 

Amounts designated as “ —” are either $0 or have been rounded to $0.

 

New Covenant Funds/ Quarterly Report /September 30, 2021    17

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund

 

     
Description    Face Amount
(Thousands)
  Market Value
($ Thousands)

MORTGAGE-BACKED SECURITIES — 37.9%

 

Agency Mortgage-Backed Obligations — 29.1%

 

FHLMC

    

6.500%, 12/01/2035 to 09/01/2039

   $ 530     $ 597  

6.000%, 03/01/2035

     836       981  

5.500%, 12/01/2036 to 12/01/2038

     161       187  

5.000%, 05/01/2022 to 01/01/2049

     763       864  

4.500%, 06/01/2038 to 07/01/2049

     4,308       4,749  

4.000%, 07/01/2037 to 03/01/2050

     1,705       1,875  

3.500%, 04/01/2033 to 02/01/2051

     3,500       3,764  

3.000%, 09/01/2032 to 08/01/2050

     4,954       5,282  

2.753%, VAR ICE LIBOR USD 12 Month + 1.651%, 01/01/2049

     375       389  

2.558%, VAR ICE LIBOR USD 12

    

Month + 1.630%, 09/01/2047

     495       517  

2.500%, 08/01/2030 to 07/01/2051

     5,466       5,670  

2.000%, 10/01/2032 to 06/01/2051

     1,725       1,747  

1.931%, VAR ICE LIBOR USD 12 Month + 1.596%, 06/01/2047

     589       613  

1.500%, 03/01/2051

     2       2  

FHLMC CMO, Ser 2011-3947, Cl SG, IO

    

5.866%, 10/15/2041 (A)

     116       18  

FHLMC CMO, Ser 2012-4057, Cl UI, IO

    

3.000%, 05/15/2027

     70       3  

FHLMC CMO, Ser 2012-4085, Cl IO, IO

    

3.000%, 06/15/2027

     154       7  

FHLMC CMO, Ser 2012-4099, Cl ST, IO

    

5.916%, 08/15/2042 (A)

     64       11  

FHLMC CMO, Ser 2013-4194, Cl BI, IO

    

3.500%, 04/15/2043

     71       8  

FHLMC CMO, Ser 2013-4203, Cl PS, IO

    

6.166%, 09/15/2042 (A)

     99       13  

FHLMC CMO, Ser 2014-4310, Cl SA, IO

    

5.866%, 02/15/2044 (A)

     29       5  

FHLMC CMO, Ser 2014-4335, Cl SW, IO

    

5.916%, 05/15/2044 (A)

     56       10  

FHLMC CMO, Ser 2014-4415, Cl IO, IO

    

1.643%, 04/15/2041 (A)

     28       2  

FHLMC Multifamily Structured Pass-Through Certificates, Ser 1515, Cl X1, IO

    

1.639%, 02/25/2035 (A)

     2,296       358  

FHLMC Multifamily Structured Pass-Through Certificates, Ser 1516, Cl X1, IO

    

1.630%, 05/25/2035 (A)

     848       140  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K118, Cl X1, IO

    

1.054%, 09/25/2030 (A)

     5,730       429  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K-1517, Cl X1, IO

    

1.447%, 07/25/2035 (A)

     240       35  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K740, Cl X1, IO

    

0.845%, 09/25/2027 (A)

     7,984       324  
     
Description    Face Amount
(Thousands)
     Market Value
($ Thousands)
 

MORTGAGE-BACKED SECURITIES (continued)

 

FHLMC Structured Agency Credit Risk Debt Notes, Ser 2016-DNA1, Cl M3

     

5.636%, VAR ICE LIBOR USD 1 Month

+ 5.550%, 07/25/2028

   $ 246      $ 258  

FHLMC Structured Agency Credit Risk Debt Notes, Ser 2017-DNA3, Cl M2

     

2.586%, VAR ICE LIBOR USD 1 Month + 2.500%, 03/25/2030

     250        256  

FHLMC, Ser 2014-334, Cl S7, IO

     

6.016%, 08/15/2044 (A)

     30        6  

FHLMC, Ser 2016-353, Cl S1, IO

     

5.916%, 12/15/2046 (A)

     96        17  

FHLMC, Ser 2018-4813, Cl CJ

     

3.000%, 08/15/2048

     44        45  

FHLMC, Ser 2020-5010, Cl IK, IO

     

2.500%, 09/25/2050

     166        22  

FHLMC, Ser 2020-5010, Cl JI, IO

     

2.500%, 09/25/2050

     276        41  

FHLMC, Ser 2020-5013, Cl IN, IO

     

2.500%, 09/25/2050

     95        14  

FHLMC, Ser 2020-5018, Cl MI, IO

     

2.000%, 10/25/2050

     94        12  

FNMA

     

7.000%, 11/01/2037 to 11/01/2038

     22        24  

6.500%, 01/01/2038 to 05/01/2040

     138        161  

6.000%, 07/01/2037 to 07/01/2041

     90        106  

5.500%, 02/01/2035

     81        94  

5.000%, 11/01/2025 to 12/01/2049

     3,291        3,666  

4.500%, 02/01/2035 to 08/01/2058

     6,162        6,795  

4.000%, 06/01/2025 to 06/01/2057

     9,304        10,158  

3.500%, 04/01/2033 to 03/01/2057

     9,437        10,156  

3.000%, 07/01/2035 to 04/01/2051

     13,944        14,776  

2.790%, 08/01/2029

     200        216  

2.500%, 08/01/2035 to 09/01/2051

     7,278        7,610  

2.393%, VAR US Treas Yield Curve Rate T Note Const Mat 1 Yr + 2.268%, 01/01/2036

     22        22  

2.260%, 04/01/2030

     97        102  

2.075%, VAR ICE LIBOR USD 12 Month + 1.700%, 03/01/2036

     19        19  

2.000%, 07/01/2031 to 08/01/2051

     10,278        10,403  

1.770%, VAR ICE LIBOR USD 12 Month + 1.428%, 05/01/2043

     150        156  

1.500%, 12/01/2035

     93        94  

FNMA CMO, Ser 2003-W2, Cl 2A9

     

5.900%, 07/25/2042

     352        404  

FNMA CMO, Ser 2012-93, Cl UI, IO

     

3.000%, 09/25/2027

     218        11  

FNMA CMO, Ser 2014-47, Cl AI, IO

     

1.663%, 08/25/2044 (A)

     75        4  

FNMA CMO, Ser 2015-55, Cl IO, IO

     

1.435%, 08/25/2055 (A)

     20        1  
 

 

New Covenant Funds/ Quarterly Report /September 30, 2021   1

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description  

Face Amount

(Thousands)

  Market Value
    ($ Thousands)
MORTGAGE-BACKED SECURITIES (continued)  
FNMA CMO, Ser 2015-56, Cl
AS, IO
       

6.064%, VAR LIBOR USD 1 Month + 6.150%, 08/25/2045

  $ 40       $ 10  

FNMA Connecticut Avenue Securities, Ser 2014-C04, Cl 1M2

   

4.986%, VAR ICE LIBOR USD 1 Month + 4.900%, 11/25/2024

    126       131  

FNMA Interest, Ser 2012-409, Cl C18, IO

   

4.000%, 04/25/2042

    13       2  

FNMA, Ser 2005-29, Cl ZA

   

5.500%, 04/25/2035

    108       123  

FNMA, Ser 2012-101, Cl BI, IO

   

4.000%, 09/25/2027

    6       –    

FNMA, Ser 2013-124, Cl SB, IO

   

5.864%, 12/25/2043 (A)

    33       6  

FNMA, Ser 2013-26, Cl HI, IO

   

3.000%, 04/25/2032

    10       –    

FNMA, Ser 2013-54, Cl BS, IO

   

6.064%, 06/25/2043 (A)

    29       6  

FNMA, Ser 2013-73, Cl IA, IO

   

3.000%, 09/25/2032

    47       3  

FNMA, Ser 2017-76, Cl SB, IO

   

6.014%, 10/25/2057 (A)

    170       35  

FNMA, Ser 2017-85, Cl SC, IO

   

6.114%, 11/25/2047 (A)

    88       16  

FNMA, Ser 2019-M19, Cl A2

   

2.560%, 09/25/2029

    89       94  

FNMA, Ser 2019-M23, Cl 3A3

   

2.720%, 10/25/2031 (A)

    100       108  

FNMA, Ser 2019-M6, Cl A2

   

3.450%, 01/01/2029

    70       78  

FNMA, Ser 2020-47, Cl GZ

   

2.000%, 07/25/2050

    103       95  

FNMA, Ser 2020-56, Cl DI, IO

   

2.500%, 08/25/2050

    90       14  

FNMA, Ser 2021-1, Cl IG, IO

   

2.500%, 02/25/2051

    193       28  

FNMA, Ser 2021-61, Cl KI, IO

   

2.500%, 04/25/2049

    600       83  

FRESB Mortgage Trust, Ser 2018-SB48,Cl A10F

   

3.370%, 02/25/2028 (A)

    598       625  

FRESB Mortgage Trust, Ser 2019-SB58,Cl A10F

   

3.610%, 10/25/2028 (A)

    911       962  

GNMA

   

5.500%, 02/20/2037 to 01/15/2039

    78       90  

5.000%, 12/20/2038 to 10/20/2047

    501       566  

4.600%, 09/15/2034

    1,243       1,410  

4.500%, 05/20/2040 to 12/20/2050

    2,304       2,521  

4.000%, 01/15/2041 to 11/20/2049

    1,979       2,150  

3.500%, 06/20/2044 to 11/20/2050

    2,057       2,193  
     
Description  

Face Amount

(Thousands)

 

Market Value

    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

3.000%, 09/15/2042 to 07/20/2051

  $ 773       $ 813  

2.500%, 02/20/2027 to 01/20/2051

    1,798       1,879  

2.000%, 12/20/2050 to 03/20/2051

    477       484  

GNMA CMO, Ser 2012-34, Cl SA, IO

   

5.963%, 03/20/2042 (A)

    23       5  

GNMA CMO, Ser 2012-66, Cl CI, IO

   

3.500%, 02/20/2038

    8        

GNMA CMO, Ser 2012-H18, Cl NA

   

0.610%, VAR ICE LIBOR USD 1 Month + 0.520%, 08/20/2062

    108       109  

GNMA CMO, Ser 2012-H30, Cl GA

   

0.440%, VAR ICE LIBOR USD 1 Month + 0.350%, 12/20/2062

    545       545  

GNMA CMO, Ser 2013-85, Cl IA, IO

   

0.279%, 03/16/2047 (A)

    958       11  

GNMA CMO, Ser 2013-95, Cl IO, IO

   

0.522%, 04/16/2047 (A)

    997       18  

GNMA CMO, Ser 2013-H01, Cl TA

   

0.590%, VAR ICE LIBOR USD 1 Month + 0.500%, 01/20/2063

    2       2  

GNMA CMO, Ser 2013-H08, Cl BF

   

0.490%, VAR ICE LIBOR USD 1 Month + 0.400%, 03/20/2063

    424       425  

GNMA CMO, Ser 2014-105, Cl IO, IO

   

0.204%, 06/16/2054 (A)

    69       3  

GNMA CMO, Ser 2014-186, Cl IO, IO

   

0.550%, 08/16/2054 (A)

    508       11  

GNMA CMO, Ser 2015-H20, Cl FA

   

0.560%, VAR ICE LIBOR USD 1 Month + 0.470%, 08/20/2065

    223       224  

GNMA TBA

   

3.000%, 10/01/2042

    400       418  

2.500%, 10/15/2051

    300       310  

2.000%, 10/15/2051

    700       710  

GNMA, Ser 2013-107, Cl AD

   

2.768%, 11/16/2047 (A)

    55       57  

GNMA, Ser 2013-H21, Cl FB

   

0.790%, VAR ICE LIBOR USD 1 Month + 0.700%, 09/20/2063

    349       351  

GNMA, Ser 2015-167, Cl OI,

   

IO 4.000%, 04/16/2045

    62       10  

GNMA, Ser 2019-28, Cl AB

   

3.150%, 06/16/2060

    23       23  

GNMA, Ser 2020-123, Cl NI,IO

   

2.500%, 08/20/2050

    94       13  

GNMA, Ser 2020-127, Cl IN, IO

   

2.500%, 08/20/2050

    94       13  

GNMA, Ser 2020-129, Cl IE, IO

   

2.500%, 09/20/2050

    95       13  

GNMA, Ser 2020-160, Cl YI, IO

   

2.500%, 10/20/2050

    190       26  
 

 

2    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description  

Face Amount

(Thousands)

 

Market Value

    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

GNMA, Ser 2020-181, Cl WI, IO

 

2.000%, 12/20/2050

  $ 473     $ 51  

GNMA, Ser 2020-H04, Cl FP

   

0.590%, VAR ICE LIBOR USD 1 Month + 0.500%, 06/20/2069

    165       166  

GNMA, Ser 2020-H09, Cl FL

   

1.237%, VAR ICE LIBOR USD 1 Month + 1.150%, 05/20/2070

    89       93  

GNMA, Ser 2020-H13, Cl FA

   

0.537%, VAR ICE LIBOR USD 1 Month + 0.450%, 07/20/2070

    532       535  

GNMA, Ser 2020-H13, Cl FM

   

0.487%, VAR ICE LIBOR USD 1 Month + 0.400%, 08/20/2070

    321       322  

UMBS TBA

   

3.000%, 11/15/2042 to 10/15/2051

    500       523  

2.500%, 10/15/2051 to 11/15/2051

    3,200       3,295  

2.000%, 10/15/2051 to 11/15/2051

    4,300       4,305  

1.500%, 10/15/2036

    1,100       1,111  
   

 

 

 

      122,472  
   

 

 

 

Non-Agency Mortgage-Backed Obligations — 8.8%

 

280 Park Avenue Mortgage Trust, Ser 2017-280P, Cl A

   

0.964%, VAR ICE LIBOR USD 1 Month + 0.880%, 09/15/2034 (B)

    130       130  

Atrium Hotel Portfolio Trust, Ser 2017-ATRM, Cl C

   

1.734%, VAR ICE LIBOR USD 1 Month + 1.650%, 12/15/2036 (B)

    410       409  

BANK, Ser 2021-BN36, Cl A5

   

2.470%, 09/15/2064

    644       661  

BBCMS Mortgage Trust, Ser 2021-C9, Cl A5

   

2.299%, 02/15/2054

    563       571  

Benchmark Mortgage Trust, Ser 2019-B12,Cl A5

   

3.116%, 08/15/2052

    703       758  

Benchmark Mortgage Trust, Ser 2019-B15,Cl A5

   

2.928%, 12/15/2072

    481       512  

Benchmark Mortgage Trust, Ser 2021-B26,Cl A3

   

2.391%, 06/15/2054

    604       624  

BPR Trust, Ser 2021-TY, Cl B

   

1.250%, VAR ICE LIBOR USD 1 Month + 1.150%, 09/25/2038 (B)

    370       370  

BRAVO Residential Funding Trust, Ser 2021-NQM2, Cl A1

   

0.970%, 03/25/2060 (A)(B)

    95       96  
     
Description  

Face Amount

(Thousands)

 

Market Value

    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

BX Commercial Mortgage Trust, Ser 2019-XL, Cl A

   

1.004%, VAR ICE LIBOR USD 1 Month + 0.920%, 10/15/2036 (B)

  $ 976     $ 978  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl A

   

0.800%, VAR ICE LIBOR USD 1 Month + 0.700%, 09/15/2036 (B)

    635       635  

Cascade MH Asset Trust, Ser 2021-MH1,Cl A1

   

1.753%, 02/25/2046 (B)

    95       94  

CIM Trust, Ser 2020-INV1, Cl A2

   

2.500%, 04/25/2050 (A)(B)

    264       268  

Citigroup Commercial Mortgage Trust,Ser 2013-375P, Cl A

   

3.251%, 05/10/2035 (B)

    190       197  

Citigroup Commercial Mortgage Trust,Ser 2014-GC25, Cl AS

   

4.017%, 10/10/2047

    100       108  

Citigroup Commercial Mortgage Trust,Ser 2016-P6, Cl AAB

   

3.512%, 12/10/2049

    810       863  

COMM Mortgage Trust, Ser 2012-CR5, Cl AM

   

3.223%, 12/10/2045 (B)

    590       604  

COMM Mortgage Trust, Ser 2012-CR5, Cl A4

   

2.771%, 12/10/2045

    700       716  

COMM Mortgage Trust, Ser 2013-CR12,Cl AM

   

4.300%, 10/10/2046

    20       21  

COMM Mortgage Trust, Ser 2013-CR12, Cl B

   

4.762%, 10/10/2046 (A)

    20       21  

COMM Mortgage Trust, Ser 2013-CR12, Cl C

   

5.249%, 10/10/2046 (A)

    10       10  

COMM Mortgage Trust, Ser 2013-CR8, Cl A4

   

3.334%, 06/10/2046

    99       101  

Credit Suisse Mortgage Trust, Ser 2019-NQM1, Cl A3

   

3.064%, 10/25/2059 (B)

    356       361  

CSMC LLC, Ser 2014-USA, Cl B

   

4.185%, 09/15/2037 (B)

    470       478  

CSMC Trust, Ser 2018-J1, Cl A2

   

3.500%, 02/25/2048 (A)(B)

    430       441  

CSMC Trust, Ser 2021-NQM3, Cl A3

   

1.632%, 04/25/2066 (A)(B)

    275       276  

CSMC Trust, Ser 2021-NQM5, Cl A1

   

0.938%, 05/25/2066 (A)(B)

    189       188  

CSMC Trust, Ser 2021-RPL3, Cl A1

   

2.000%, 01/25/2060 (A)(B)

    341       347  

CSMC Trust, Ser 2021-RPL3, Cl M3

   

3.882%, 01/25/2060 (A)(B)

    120       130  

CSMC Trust, Ser 2021-RPL6, Cl A1

   

2.000%, 10/25/2060 (A)(B)

    187       190  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   3

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
 

Market Value

    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

Flagstar Mortgage Trust, Ser 2018-2, Cl A4

 

3.500%, 04/25/2048 (A)(B)

  $ 26     $ 26  

GS Mortage-Backed Securities Trust,Ser 2020-PJ1, Cl A6

   

3.500%, 05/25/2050 (A)(B)

    17       17  

GS Mortgage Securities II, Ser 2018-SRP5,Cl B

   

2.834%, VAR ICE LIBOR USD 1 Month + 2.750%, 09/15/2031 (B)

    430       340  

GS Mortgage Securities II, Ser 2018-SRP5,Cl A

   

1.634%, VAR ICE LIBOR USD 1 Month + 1.550%, 09/15/2031 (B)

    620       546  

GS Mortgage Securities Trust, Ser 2013-GC16, Cl B

   

5.161%, 11/10/2046 (A)

    80       85  

GS Mortgage Securities Trust, Ser 2014-GC24, Cl A5

   

3.931%, 09/10/2047

    511       552  

GS Mortgage Securities Trust, Ser 2015-GC30, Cl A3

   

3.119%, 05/10/2050

    980       1,034  

GS Mortgage Securities Trust, Ser 2019-GC39, Cl A2

   

3.457%, 05/10/2052

    520       545  

GS Mortgage-Backed Securities Trust,Ser 2018-RPL1, Cl A1A

   

3.750%, 10/25/2057 (B)

    221       230  

GS Mortgage-Backed Securities Trust,Ser 2020-INV1, Cl A14

   

2.976%, 10/25/2050 (A)(B)

    396       403  

HarborView Mortgage Loan Trust,Ser 2005-9, Cl 2A1B

   

0.827%, VAR ICE LIBOR USD 1 Month

   

+ 0.740%, 06/20/2035

    176       177  

JPMBB Commercial Mortgage Securities Trust, Ser 2013-C15, Cl B

   

4.927%, 11/15/2045 (A)

    210       225  

JPMBB Commercial Mortgage Securities Trust, Ser 2013-C17, Cl B

   

5.049%, 01/15/2047 (A)

    30       32  

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C22, Cl C

   

4.705%, 09/15/2047 (A)

    80       79  

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C25, Cl A5

   

3.672%, 11/15/2047

    578       618  

JPMDB Commercial Mortgage Securities Trust, Ser 2019-COR6, Cl A4

   

3.057%, 11/13/2052

    537       575  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2012-C6, Cl A3

   

3.507%, 05/15/2045

  $ 1,030     $ 1,042  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2012-LC9, Cl AS

   

3.353%, 12/15/2047 (B)

    380       388  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2015-FL7, Cl D

   

3.834%, VAR ICE LIBOR USD 1 Month + 3.750%, 05/15/2028 (B)

    129       119  

JPMorgan Mortgage Trust, Ser 2015-5,Cl A9

   

2.445%, 05/25/2045 (A)(B)

    43       43  

JPMorgan Mortgage Trust, Ser 2018-3,Cl A1

   

3.500%, 09/25/2048 (A)(B)

    156       157  

JPMorgan Mortgage Trust, Ser 2018-5,Cl A1

   

3.500%, 10/25/2048 (A)(B)

    113       115  

JPMorgan Mortgage Trust, Ser 2021-3,Cl A3

   

2.500%, 07/01/2051 (A)(B)

    813       824  

MAD Mortgage Trust, Ser 2017-330M, Cl A

   

3.294%, 08/15/2034 (A)(B)

    220       224  

Metlife Securitization Trust, Ser 2020-INV1,Cl A2A

   

2.500%, 05/25/2050 (A)(B)

    456       462  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2012-C5, Cl A4

   

3.176%, 08/15/2045

    1,475       1,492  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2013-C9, Cl A4

   

3.102%, 05/15/2046

    714       737  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C24, Cl A4

   

3.732%, 05/15/2048

    473       515  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C25, Cl A5

   

3.635%, 10/15/2048

    510       555  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2017-C34, Cl ASB

   

3.354%, 11/15/2052

    615       661  

Morgan Stanley Capital I Trust, Ser 2012-C4, Cl A4

   

3.244%, 03/15/2045

    50       50  

Morgan Stanley Capital I Trust, Ser 2015-UBS8, Cl A4

   

3.809%, 12/15/2048

    732       797  

Morgan Stanley Capital I Trust, Ser 2019-BPR, Cl A

   

1.484%, VAR ICE LIBOR USD 1 Month + 1.400%, 05/15/2036 (B)

    320       317  
 

 

4    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

MSCG Trust, Ser 2015-ALDR, Cl A2

   

3.577%, 06/07/2035 (A)(B)

  $ 410     $ 422  

Natixis Commercial Mortgage Securities Trust, Ser 2019-FAME, Cl B

   

3.655%, 08/15/2036 (B)

    410       410  

New Residential Mortgage Loan Trust, Ser 2018-RPL1, Cl M2

   

3.500%, 12/25/2057 (A)(B)

    240       251  

New Residential Mortgage Loan Trust, Ser 2019-4A, Cl A1B

   

3.500%, 12/25/2058 (A)(B)

    243       255  

New Residential Mortgage Loan Trust, Ser 2019-6A, Cl B2

   

4.250%, 09/25/2059 (A)(B)

    218       235  

New Residential Mortgage Loan Trust, Ser 2019-6A, Cl B1

   

4.000%, 09/25/2059 (A)(B)

    218       235  

New Residential Mortgage Loan Trust, Ser 2019-NQM4, Cl A1

   

2.492%, 09/25/2059 (A)(B)

    213       215  

New Residential Mortgage Loan Trust, Ser 2019-RPL3, Cl A1

   

2.750%, 07/25/2059 (A)(B)

    256       264  

New Residential Mortgage Loan Trust, Ser 2021-NQM3, Cl A1

   

1.156%, 11/27/2056 (A)(B)

    170       170  

New Residential Mortgage Loan Trust, Ser 2021-NQM3, Cl A3

   

1.516%, 11/27/2056 (A)(B)

    110       110  

OBX Trust, Ser 2021-NQM2, Cl A3

   

1.563%, 05/25/2061 (A)(B)

    317       318  

OBX Trust, Ser 2021-NQM2, Cl A1

   

1.101%, 05/25/2061 (A)(B)

    385       386  

OBX Trust, Ser 2021-NQM3, Cl A1

   

1.054%, 07/25/2061 (A)(B)

    200       200  

PRKCM Trust, Ser 2021-AFC1, Cl A1

   

1.510%, 07/25/2056 (A)(B)

    250       250  

Provident Funding Mortgage Trust, Ser 2021-INV1, Cl A1

   

2.500%, 08/25/2051 (A)(B)

    616       628  

Residential Mortgage Loan Trust, Ser 2019-3, Cl A2

   

2.941%, 09/25/2059 (A)(B)

    185       187  

Residential Mortgage Loan Trust, Ser 2019-3, Cl A3

   

3.044%, 09/25/2059 (A)(B)

    185       187  

Residential Mortgage Loan Trust, Ser 2020-2, Cl A1

   

1.654%, 05/25/2060 (A)(B)

    258       259  

Seasoned Credit Risk Transfer Trust, Ser 2018-4, Cl MA

   

3.500%, 03/25/2058

    717       751  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

Seasoned Credit Risk Transfer Trust, Ser 2019-1, Cl MA

   

3.500%, 07/25/2058

  $ 613       $ 643  

Seasoned Credit Risk Transfer Trust, Ser 2019-2, Cl MA

   

3.500%, 08/25/2058

    551       578  

Seasoned Credit Risk Transfer Trust, Ser 2019-4, Cl MA

   

3.000%, 02/25/2059

    1,019       1,061  

Seasoned Credit Risk Transfer Trust, Ser 2020-2, Cl MA

   

2.000%, 11/25/2059

    398       404  

Sequoia Mortgage Trust, Ser 2017-1, Cl A4

   

3.500%, 02/25/2047 (A)(B)

    11       11  

Sequoia Mortgage Trust, Ser 2020-4, Cl A2

   

2.500%, 11/25/2050 (A)(B)

    406       413  

Sequoia Mortgage Trust, Ser 2021-1, Cl A1

   

2.500%, 03/25/2051 (A)(B)

    864       875  

Shops at Crystals Trust, Ser 2016-CSTL, Cl A

   

3.126%, 07/05/2036 (B)

    100       104  

SLG Office Trust, Ser 2021-OVA, Cl A

   

2.585%, 07/15/2041 (B)

    510       527  

UBS-BAMLL Trust, Ser 2012-WRM, Cl A

   

3.663%, 06/10/2030 (B)

    116       117  

UBS-Barclays Commercial Mortgage Trust, Ser 2012-C2, Cl A4

   

3.525%, 05/10/2063

    631       640  

UBS-Barclays Commercial Mortgage Trust, Ser 2012-CN, Cl XA, IO

   

1.430%, 05/10/2063 (A)(B)

    313       2  

Wells Fargo Commercial Mortgage Trust, Ser 2015-NXS3, Cl ASB

   

3.371%, 09/15/2057

    133       140  

WFRBS Commercial Mortgage Trust, Ser 2012-C7, Cl XA, IO

   

1.449%, 06/15/2045 (A)(B)

    1,010       3  

WFRBS Commercial Mortgage Trust, Ser 2013-C11, Cl AS

   

3.311%, 03/15/2045

    160       164  

WFRBS Commercial Mortgage Trust, Ser 2013-C13, Cl XA, IO

   

1.316%, 05/15/2045 (A)(B)

    1,014       14  

WFRBS Commercial Mortgage Trust, Ser 2014-C23, Cl XA, IO

   

0.709%, 10/15/2057 (A)

    980       14  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   5

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
 

Market Value

    ($ Thousands)

MORTGAGE-BACKED SECURITIES (continued)

 

WFRBS Commercial Mortgage Trust, Ser 2014-C23, Cl B

   

4.533%, 10/15/2057 (A)

  $ 270       $ 291  
   

 

 

 

      36,874  
   

 

 

 

Total Mortgage-Backed Securities (Cost $157,887) ($ Thousands)

 

    159,346  
   

 

 

 

U.S. TREASURY OBLIGATIONS — 22.8%

 

U.S. Treasury Bonds

   

2.875%, 05/15/2049

    170       199  

2.375%, 05/15/2051

    890       950  

2.250%, 08/15/2049

    280       290  

2.000%, 02/15/2050

    850       835  

2.000%, 08/15/2051

    440       432  

1.875%, 02/15/2041

    1,544       1,510  

1.875%, 02/15/2051

    3,240       3,090  

1.625%, 11/15/2050

    1,400       1,258  

1.375%, 11/15/2040

    880       790  

1.375%, 08/15/2050

    3,760       3,173  

1.250%, 05/15/2050

    3,970       3,248  

1.125%, 08/15/2040

    1,060       912  

U.S. Treasury Inflation-Protected Securities

 

1.750%, 01/15/2028

    91       110  

1.375%, 02/15/2044

    328       450  

0.125%, 10/15/2024

    1,850       1,979  

0.125%, 01/15/2030

    948       1,041  

U.S. Treasury Notes

   

1.625%, 05/15/2031

    2,540       2,570  

1.250%, 03/31/2028

    1,280       1,280  

1.250%, 04/30/2028

    3,590       3,587  

1.250%, 05/31/2028

    1,700       1,697  

1.250%, 06/30/2028

    140       140  

1.250%, 09/30/2028

    1,520       1,514  

1.125%, 08/31/2028

    1,790       1,769  

1.125%, 02/15/2031

    6,058       5,868  

0.750%, 04/30/2026

    7,028       6,974  

0.750%, 05/31/2026

    14,130       14,011  

0.750%, 01/31/2028

    2,800       2,719  

0.625%, 07/31/2026

    4,196       4,129  

0.625%, 11/30/2027

    1,410       1,362  

0.625%, 12/31/2027

    1,760       1,698  

0.375%, 04/15/2024

    3,869       3,865  

0.375%, 04/30/2025

    20       20  

0.375%, 11/30/2025

    290       284  

0.375%, 01/31/2026

    10,166       9,948  

0.250%, 05/15/2024

    260       259  

0.250%, 05/31/2025

    8,800       8,651  

0.250%, 06/30/2025

    260       255  

0.250%, 08/31/2025

    730       715  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

U.S. TREASURY OBLIGATIONS (continued)

 

0.250%, 09/30/2025

  $ 10       $ 10  

0.125%, 08/31/2022

    970       970  

0.125%, 04/30/2023

    1,282       1,280  
   

 

 

 

Total U.S. Treasury Obligations (Cost $97,404) ($ Thousands)

      95,842  
   

 

 

 

CORPORATE OBLIGATIONS — 21.9%

 

Communication Services — 2.5%

 

Alphabet

   

2.050%, 08/15/2050

    70       61  

1.100%, 08/15/2030

    40       38  

0.800%, 08/15/2027

    30       29  

0.450%, 08/15/2025

    20       20  

AT&T

   

4.250%, 03/01/2027

    150       170  

4.015%, 11/27/2022 (B)(C)

    2,000       1,986  

3.000%, 06/30/2022

    10       10  

2.550%, 12/01/2033

    472       464  

2.300%, 06/01/2027

    120       124  

1.650%, 02/01/2028

    400       397  

Charter Communications Operating

 

5.050%, 03/30/2029

    220       258  

4.908%, 07/23/2025

    490       551  

4.800%, 03/01/2050

    40       45  

3.750%, 02/15/2028

    120       131  

Comcast

   

4.150%, 10/15/2028

    80       92  

3.950%, 10/15/2025

    210       233  

3.750%, 04/01/2040

    20       23  

3.450%, 02/01/2050

    40       42  

3.400%, 04/01/2030

    140       154  

3.300%, 04/01/2027

    30       33  

3.250%, 11/01/2039

    30       32  

3.150%, 03/01/2026

    30       32  

3.100%, 04/01/2025

    10       11  

2.937%, 11/01/2056 (B)

    27       26  

2.800%, 01/15/2051

    30       28  

Fox

   

4.709%, 01/25/2029

    30       35  

Juniper Networks

   

1.200%, 12/10/2025

    570       566  

TCI Communications

   

7.875%, 02/15/2026

    240       306  

T-Mobile USA

   

3.875%, 04/15/2030

    170       188  

3.750%, 04/15/2027

    20       22  

3.500%, 04/15/2025

    369       398  

2.550%, 02/15/2031

    190       191  

2.050%, 02/15/2028

    20       20  
 

 

6    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

Verizon Communications

   

4.862%, 08/21/2046

  $ 40       $ 51  

4.329%, 09/21/2028

    435       500  

4.125%, 08/15/2046

    40       46  

4.000%, 03/22/2050

    40       45  

3.875%, 02/08/2029

    30       34  

3.850%, 11/01/2042

    10       11  

3.000%, 03/22/2027

    120       129  

2.650%, 11/20/2040

    300       282  

2.625%, 08/15/2026

    513       543  

2.550%, 03/21/2031

    1,414       1,431  

2.355%, 03/15/2032 (B)

    437       432  

2.100%, 03/22/2028

    90       91  

Viacom

   

3.875%, 04/01/2024

    20       21  

Walt Disney

   

3.350%, 03/24/2025

    286       309  

3.000%, 09/15/2022

    30       31  
   

 

 

 

      10,672  
   

 

 

 

Consumer Discretionary — 1.1%

 

Amazon.com

   

4.250%, 08/22/2057

    10       13  

3.150%, 08/22/2027

    470       517  

1.200%, 06/03/2027

    20       20  

American Honda Finance MTN

   

0.875%, 07/07/2023

    846       853  

Dollar General

   

3.250%, 04/15/2023

    10       10  

Ferguson Finance

   

4.500%, 10/24/2028 (B)

    459       528  

3.250%, 06/02/2030 (B)

    851       909  

General Motors Financial

   

3.700%, 05/09/2023

    190       198  

Home Depot

   

3.900%, 12/06/2028

    10       11  

3.900%, 06/15/2047

    10       12  

3.350%, 04/15/2050

    50       54  

3.300%, 04/15/2040

    40       43  

2.500%, 04/15/2027

    450       478  

Lowe’s

   

4.500%, 04/15/2030

    30       35  

1.700%, 09/15/2028

    80       79  

McDonald’s MTN

   

4.200%, 04/01/2050

    70       83  

3.800%, 04/01/2028

    200       224  

3.700%, 01/30/2026

    10       11  

3.625%, 09/01/2049

    10       11  

3.500%, 03/01/2027

    20       22  

3.500%, 07/01/2027

    10       11  

3.350%, 04/01/2023

    280       292  

3.300%, 07/01/2025

    50       54  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

1.450%, 09/01/2025

  $ 10       $ 10  

Newell Brands

   

4.350%, 04/01/2023

    53       55  

NIKE

   

3.375%, 03/27/2050

    30       34  

2.750%, 03/27/2027

    40       43  

2.400%, 03/27/2025

    40       42  

Target

   

2.250%, 04/15/2025

    80       83  
   

 

 

 

      4,735  
   

 

 

 

Consumer Staples — 0.6%

 

Cargill

   

1.375%, 07/23/2023 (B)

    70       71  

Coca-Cola

   

3.375%, 03/25/2027

    30       33  

2.600%, 06/01/2050

    10       9  

1.450%, 06/01/2027

    80       81  

Costco Wholesale

   

1.600%, 04/20/2030

    90       88  

1.375%, 06/20/2027

    120       121  

Hershey

   

0.900%, 06/01/2025

    20       20  

Kimberly-Clark

   

3.100%, 03/26/2030

    20       22  

Kroger

   

7.700%, 06/01/2029

    565       774  

Mars

   

3.200%, 04/01/2030 (B)

    30       33  

2.700%, 04/01/2025 (B)

    60       63  

Mondelez International

   

1.500%, 05/04/2025

    180       183  

PepsiCo

   

3.875%, 03/19/2060

    20       24  

3.625%, 03/19/2050

    30       34  

2.750%, 03/05/2022

    80       81  

2.625%, 03/19/2027

    10       11  

2.250%, 03/19/2025

    331       345  

1.625%, 05/01/2030

    70       69  

0.750%, 05/01/2023

    80       81  

Procter & Gamble

   

3.000%, 03/25/2030

    40       44  

2.800%, 03/25/2027

    10       11  

Walmart

   

1.800%, 09/22/2031

    160       159  
   

 

 

 

      2,357  
   

 

 

 

Energy — 2.6%

 

Apache

   

3.250%, 04/15/2022

    616       617  

Berkshire Hathaway Energy

   

3.700%, 07/15/2030

    140       158  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   7

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

BP Capital Markets America

   

3.790%, 02/06/2024

  $ 80       $ 86  

3.633%, 04/06/2030

    50       56  

3.410%, 02/11/2026

    90       98  

3.216%, 11/28/2023

    90       95  

3.119%, 05/04/2026

    170       184  

Cameron LNG

   

2.902%, 07/15/2031 (B)

    60       64  

Chevron

   

1.995%, 05/11/2027

    40       41  

1.554%, 05/11/2025

    70       71  

Chevron USA

   

3.850%, 01/15/2028

    30       34  

3.250%, 10/15/2029

    80       88  

Cimarex Energy

   

4.375%, 06/01/2024

    160       172  

4.375%, 03/15/2029

    240       271  

3.900%, 05/15/2027

    160       175  

ConocoPhillips

   

4.300%, 08/15/2028 (B)

    30       34  

3.750%, 10/01/2027 (B)

    160       179  

Continental Resources

   

3.800%, 06/01/2024

    190       200  

Devon Energy

   

5.850%, 12/15/2025

    210       243  

5.250%, 10/15/2027 (B)

    64       68  

5.000%, 06/15/2045

    70       82  

4.500%, 01/15/2030 (B)

    32       35  

Diamondback Energy

   

3.500%, 12/01/2029

    20       21  

3.250%, 12/01/2026

    30       32  

3.125%, 03/24/2031

    40       41  

2.875%, 12/01/2024

    290       304  

Energy Transfer

   

4.950%, 06/15/2028

    10       11  

4.500%, 11/01/2023

    60       64  

3.750%, 05/15/2030

    160       173  

2.900%, 05/15/2025

    140       147  

Enterprise Products Operating

   

4.800%, 02/01/2049

    30       37  

4.200%, 01/31/2050

    10       11  

4.150%, 10/16/2028

    140       159  

3.950%, 02/15/2027

    150       167  

3.950%, 01/31/2060

    10       11  

3.900%, 02/15/2024

    457       488  

3.700%, 01/31/2051

    80       85  

3.125%, 07/31/2029

    210       225  

2.800%, 01/31/2030

    170       178  

EOG Resources

   

4.375%, 04/15/2030

    190       222  

4.150%, 01/15/2026

    160       178  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

Exxon Mobil

   

4.327%, 03/19/2050

  $ 30       $ 37  

3.043%, 03/01/2026

    150       162  

2.992%, 03/19/2025

    270       288  

2.610%, 10/15/2030

    100       105  

1.571%, 04/15/2023

    10       10  

Kinder Morgan

   

5.550%, 06/01/2045

    20       25  

4.300%, 06/01/2025

    60       66  

MidAmerican Energy

   

3.650%, 04/15/2029

    140       157  

MPLX

   

5.200%, 03/01/2047

    30       36  

5.200%, 12/01/2047

    50       61  

4.800%, 02/15/2029

    50       58  

4.125%, 03/01/2027

    110       123  

4.000%, 03/15/2028

    40       44  

Occidental Petroleum

   

5.550%, 03/15/2026

    170       189  

4.725%, 10/10/2036 (C)

    2,000       1,085  

3.400%, 04/15/2026

    80       82  

3.200%, 08/15/2026

    130       133  

3.000%, 02/15/2027

    130       130  

Phillips 66

   

3.700%, 04/06/2023

    582       610  

Pioneer Natural Resources

   

2.150%, 01/15/2031

    40       39  

1.900%, 08/15/2030

    70       67  

1.125%, 01/15/2026

    50       49  

0.750%, 01/15/2024

    120       120  

Schlumberger Holdings

   

3.900%, 05/17/2028 (B)

    456       503  

Tennessee Gas Pipeline

   

2.900%, 03/01/2030 (B)

    160       165  

Transcontinental Gas Pipe Line

   

3.250%, 05/15/2030

    100       107  

Western Midstream Operating

   

5.300%, 02/01/2030

    20       22  

4.350%, 02/01/2025

    30       32  

2.229%, VAR ICE LIBOR USD 3 Month + 2.100%, 01/13/2023

    20       20  

Williams

   

5.100%, 09/15/2045

    70       87  

4.900%, 01/15/2045

    90       108  

3.750%, 06/15/2027

    390       429  

3.500%, 11/15/2030

    20       22  
   

 

 

 

      10,776  
   

 

 

 

Financials — 6.8%

 

American Express

   

2.650%, 12/02/2022

    264       271  
 

 

8    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

American International Group

   

2.500%, 06/30/2025

  $ 40       $ 42  

Aviation Capital Group

   

4.125%, 08/01/2025 (B)

    160       172  

1.950%, 01/30/2026 (B)

    567       565  

Bank of America

   

3.419%, VAR ICE LIBOR USD 3 Month + 1.040%, 12/20/2028

    234       254  

3.004%, VAR ICE LIBOR USD 3 Month + 0.790%, 12/20/2023

    258       266  

2.592%, VAR United States Secured Overnight Financing Rate +

   

2.150%, 04/29/2031

    380       388  

1.734%, VAR United States Secured Overnight Financing Rate + 0.960%, 07/22/2027

    2,006       2,014  

Bank of America MTN

   

4.250%, 10/22/2026

    10       11  

4.200%, 08/26/2024

    210       230  

4.125%, 01/22/2024

    370       400  

4.100%, 07/24/2023

    280       299  

4.083%, VAR ICE LIBOR USD 3 Month + 3.150%, 03/20/2051

    40       47  

4.000%, 04/01/2024

    440       476  

4.000%, 01/22/2025

    80       87  

3.974%, VAR ICE LIBOR USD 3 Month + 1.210%, 02/07/2030

    80       90  

3.593%, VAR ICE LIBOR USD 3 Month + 1.370%, 07/21/2028

    210       230  

3.550%, VAR ICE LIBOR USD 3 Month + 0.780%, 03/05/2024

    80       83  

3.500%, 04/19/2026

    130       142  

3.300%, 01/11/2023

    60       62  

Bank of New York Mellon MTN

   

3.300%, 08/23/2029

    790       866  

1.600%, 04/24/2025

    40       41  

Blackstone Holdings Finance

   

1.600%, 03/30/2031 (B)

    590       557  

Capital One Financial

   

3.300%, 10/30/2024

    480       515  

Carlyle Finance Subsidiary

   

3.500%, 09/19/2029 (B)

    716       769  

Charles Schwab

   

3.850%, 05/21/2025

    110       120  

Citigroup

   

8.125%, 07/15/2039

    12       21  

5.500%, 09/13/2025

    450       519  

5.300%, 05/06/2044

    31       41  

4.650%, 07/30/2045

    28       36  

4.450%, 09/29/2027

    120       136  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

4.412%, VAR United States Secured Overnight Financing Rate + 3.914%, 03/31/2031

  $ 100       $ 115  

4.400%, 06/10/2025

    160       177  

4.300%, 11/20/2026

    40       45  

4.125%, 07/25/2028

    40       45  

4.075%, VAR ICE LIBOR USD 3 Month + 1.192%, 04/23/2029

    240       269  

4.050%, 07/30/2022

    40       41  

3.668%, VAR ICE LIBOR USD 3 Month + 1.390%, 07/24/2028

    340       374  

3.500%, 05/15/2023

    100       105  

3.400%, 05/01/2026

    354       385  

3.200%, 10/21/2026

    287       309  

3.106%, VAR United States Secured Overnight Financing Rate + 2.842%, 04/08/2026

    150       159  

2.572%, VAR United States Secured Overnight Financing Rate + 2.107%, 06/03/2031

    200       204  

1.678%, VAR United States Secured Overnight Financing Rate + 1.667%, 05/15/2024

    903       921  

Equitable Financial Life Global Funding

   

1.400%, 07/07/2025 (B)

    673       677  

Goldman Sachs Group

   

4.250%, 10/21/2025

    190       210  

4.223%, VAR ICE LIBOR USD 3 Month + 1.301%, 05/01/2029

    650       735  

3.691%, VAR ICE LIBOR USD 3 Month + 1.510%, 06/05/2028

    400       440  

3.500%, 04/01/2025

    80       86  

3.500%, 11/16/2026

    90       97  

Goldman Sachs Group MTN

   

4.000%, 03/03/2024

    420       452  

Guardian Life Global Funding

   

1.100%, 06/23/2025 (B)

    30       30  

JPMorgan Chase

   

4.452%, VAR ICE LIBOR USD 3 Month + 1.330%, 12/05/2029

    200       230  

4.203%, VAR ICE LIBOR USD 3 Month + 1.260%, 07/23/2029

    773       879  

4.023%, VAR ICE LIBOR USD 3 Month + 1.000%, 12/05/2024

    230       246  

4.005%, VAR ICE LIBOR USD 3 Month + 1.120%, 04/23/2029

    100       112  

3.875%, 09/10/2024

    290       315  

2.522%, VAR United States Secured Overnight Financing Rate + 2.040%, 04/22/2031

    190       194  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   9

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

2.083%, VAR United States Secured Overnight Financing Rate + 1.850%, 04/22/2026

  $ 130       $ 134  

1.514%, VAR United States Secured Overnight Financing Rate + 1.455%, 06/01/2024

    210       214  

KKR Group Finance VI

   

3.750%, 07/01/2029 (B)

    1,149       1,276  

Lincoln National

   

3.400%, 01/15/2031

    451       490  

MassMutual Global Funding II MTN

   

0.850%, 06/09/2023 (B)

    220       222  

Moody’s

   

2.000%, 08/19/2031

    1,000       979  

Morgan Stanley MTN

   

3.772%, VAR ICE LIBOR USD 3 Month + 1.140%, 01/24/2029

    150       166  

3.750%, 02/25/2023

    1,110       1,161  

3.622%, VAR United States Secured Overnight Financing Rate + 3.120%, 04/01/2031

    475       524  

2.699%, VAR United States Secured Overnight Financing Rate + 1.143%, 01/22/2031

    200       206  

2.188%, VAR United States Secured Overnight Financing Rate + 1.990%, 04/28/2026

    400       413  

New York Life Global Funding

   

0.950%, 06/24/2025 (B)

    60       60  

Peachtree Corners Funding Trust

   

3.976%, 02/15/2025 (B)

    944       1,025  

Principal Life Global Funding II

   

1.250%, 06/23/2025 (B)

    20       20  

State Street

   

3.152%, VAR United States Secured Overnight Financing Rate + 2.650%, 03/30/2031

    50       55  

Truist Financial MTN

   

1.267%, VAR United States Secured Overnight Financing Rate + 0.609%, 03/02/2027

    686       684  

US Bancorp

   

3.375%, 02/05/2024

    540       574  

1.450%, 05/12/2025

    160       163  

USAA Capital

   

2.125%, 05/01/2030 (B)

    150       151  

Wells Fargo

   

3.000%, 10/23/2026

    190       204  

2.188%, VAR United States Secured Overnight Financing Rate + 2.000%, 04/30/2026

    130       134  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

Wells Fargo MTN

   

5.013%, VAR United States Secured Overnight Financing Rate + 4.502%, 04/04/2051

  $ 380       $ 510  

4.900%, 11/17/2045

    30       38  

4.478%, VAR United States Secured Overnight Financing Rate + 4.032%, 04/04/2031

    130       151  

4.300%, 07/22/2027

    200       227  

3.750%, 01/24/2024

    540       577  

3.450%, 02/13/2023

    120       125  

2.879%, VAR United States Secured Overnight Financing Rate + 1.432%, 10/30/2030

    100       104  

2.393%, VAR United States Secured Overnight Financing Rate + 2.100%, 06/02/2028

    290       299  

1.654%, VAR United States Secured Overnight Financing Rate + 1.600%, 06/02/2024

    160       163  
   

 

 

 

      28,651  
   

 

 

 

Health Care — 2.7%

   

Abbott Laboratories

   

3.400%, 11/30/2023

    175       186  

AbbVie

   

4.250%, 11/21/2049

    30       36  

3.800%, 03/15/2025

    40       43  

3.750%, 11/14/2023

    20       21  

3.600%, 05/14/2025

    10       11  

3.450%, 03/15/2022

    120       121  

3.200%, 11/21/2029

    40       43  

2.950%, 11/21/2026

    20       21  

2.600%, 11/21/2024

    140       147  

2.300%, 11/21/2022

    1,046       1,068  

Adventist Health System

   

2.433%, 09/01/2024

    431       444  

Aetna

   

2.800%, 06/15/2023

    20       21  

Anthem

   

3.125%, 05/15/2022

    340       346  

Baylor Scott & White Holdings

   

1.947%, 11/15/2021

    1,226       1,227  

Becton Dickinson

   

4.685%, 12/15/2044

    40       50  

3.734%, 12/15/2024

    7       8  

3.363%, 06/06/2024

    186       198  

Bristol-Myers Squibb

   

3.875%, 08/15/2025

    71       78  

3.550%, 08/15/2022

    60       62  

3.400%, 07/26/2029

    50       55  

3.200%, 06/15/2026

    120       131  
 

 

10    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

2.900%, 07/26/2024

  $ 154       $ 164  

2.600%, 05/16/2022

    80       81  

Cigna

   

4.375%, 10/15/2028

    400       462  

4.125%, 11/15/2025

    200       222  

3.750%, 07/15/2023

    16       17  

3.500%, 06/15/2024

    160       171  

1.250%, 03/15/2026

    725       724  

CommonSpirit Health

   

4.200%, 08/01/2023

    473       502  

CVS Health

   

5.050%, 03/25/2048

    60       77  

4.300%, 03/25/2028

    164       187  

3.875%, 07/20/2025

    95       104  

3.625%, 04/01/2027

    180       198  

2.125%, 09/15/2031

    60       59  

1.750%, 08/21/2030

    200       192  

CVS Pass-Through Trust

   

7.507%, 01/10/2032 (B)

    1,047       1,318  

Eli Lilly

   

2.350%, 05/15/2022

    170       172  

Gilead Sciences

   

2.500%, 09/01/2023

    50       52  

Humana

   

4.500%, 04/01/2025

    10       11  

3.150%, 12/01/2022

    240       246  

2.900%, 12/15/2022

    290       298  

Johnson & Johnson

   

0.950%, 09/01/2027

    100       98  

0.550%, 09/01/2025

    50       50  

Merck

   

1.450%, 06/24/2030

    50       48  

0.750%, 02/24/2026

    80       79  

Pfizer

   

2.625%, 04/01/2030

    100       106  

1.700%, 05/28/2030

    50       49  

0.800%, 05/28/2025

    110       110  

SSM Health Care

   

3.688%, 06/01/2023

    644       673  

Thermo Fisher Scientific

   

4.133%, 03/25/2025

    463       509  

UnitedHealth Group

   

4.450%, 12/15/2048

    10       13  

4.250%, 06/15/2048

    10       12  

3.875%, 12/15/2028

    30       34  

3.750%, 07/15/2025

    30       33  

3.500%, 06/15/2023

    20       21  

2.875%, 12/15/2021

    50       50  

2.375%, 10/15/2022

    10       10  

2.000%, 05/15/2030

    30       30  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

1.250%, 01/15/2026

  $ 20       $ 20  
   

 

 

 

      11,519  
   

 

 

 

Industrials – 1.6%

 

3M

   

3.700%, 04/15/2050

    150       171  

2.375%, 08/26/2029

    30       31  

Air Lease

   

3.375%, 07/01/2025

    100       106  

Burlington Northern Santa Fe

   

4.550%, 09/01/2044

    10       13  

Carlisle

   

2.200%, 03/01/2032

    634       615  

Carrier Global

   

2.700%, 02/15/2031

    10       10  

Continental Airlines Pass-Through Trust, Ser 2012-2, Cl A

   

4.000%, 10/29/2024

    568       598  

Deere

   

3.750%, 04/15/2050

    30       36  

3.100%, 04/15/2030

    10       11  

Delta Air Lines Pass-Through Trust, Ser 2015-1, Cl AA

   

3.625%, 07/30/2027

    486       521  

Delta Air Lines Pass-Through Trust, Ser 2019-1, Cl AA

   

3.204%, 04/25/2024

    621       655  

Eaton

   

2.750%, 11/02/2022

    450       462  

General Electric

   

3.625%, 05/01/2030

    330       367  

3.450%, 05/01/2027

    400       439  

General Electric MTN

   

6.875%, 01/10/2039

    4       6  

Honeywell International

   

1.350%, 06/01/2025

    50       51  

International Lease Finance

   

5.875%, 08/15/2022

    400       418  

Penske Truck Leasing LP

   

3.900%, 02/01/2024 (B)

    965       1,029  

Republic Services

   

3.200%, 03/15/2025

    180       192  

Ryder System MTN

   

3.350%, 09/01/2025

    836       901  

Union Pacific

   

3.750%, 07/15/2025

    20       22  

2.891%, 04/06/2036 (B)

    20       21  
   

 

 

 

      6,675  
   

 

 

 

Information Technology – 1.3%

 

Adobe

   

2.300%, 02/01/2030

    210       217  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   11

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

Apple

   

3.350%, 02/09/2027

  $ 210       $ 232  

2.900%, 09/12/2027

    110       119  

2.450%, 08/04/2026

    70       74  

1.125%, 05/11/2025

    130       131  

Broadcom

   

4.700%, 04/15/2025

    180       201  

4.110%, 09/15/2028

    515       573  

3.150%, 11/15/2025

    240       257  

Intel

   

4.750%, 03/25/2050

    10       13  

3.700%, 07/29/2025

    30       33  

1.600%, 08/12/2028

    50       50  

Mastercard

   

3.850%, 03/26/2050

    10       12  

3.375%, 04/01/2024

    60       64  

Micron Technology

   

2.497%, 04/24/2023

    70       72  

Microsoft

   

3.300%, 02/06/2027

    90       100  

2.400%, 02/06/2022

    150       151  

NVIDIA

   

3.700%, 04/01/2060

    90       105  

3.500%, 04/01/2040

    130       144  

3.500%, 04/01/2050

    290       325  

2.850%, 04/01/2030

    90       96  

Oracle

   

2.875%, 03/25/2031

    30       31  

2.500%, 10/15/2022

    130       133  

2.500%, 04/01/2025

    738       772  

1.650%, 03/25/2026

    150       152  

PayPal Holdings

   

1.650%, 06/01/2025

    60       61  

1.350%, 06/01/2023

    571       580  

salesforce.com

   

3.700%, 04/11/2028

    150       168  

3.250%, 04/11/2023

    70       73  

1.500%, 07/15/2028

    510       507  

Texas Instruments

   

1.750%, 05/04/2030

    40       40  

Visa

   

4.300%, 12/14/2045

    10       13  

3.150%, 12/14/2025

    110       119  

1.900%, 04/15/2027

    60       62  
   

 

 

 

      5,680  
   

 

 

 

Real Estate – 1.0%

 

Alexandria Real Estate Equities

   

3.450%, 04/30/2025

    802       867  

Digital Realty Trust

   

3.600%, 07/01/2029

    815       892  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

CORPORATE OBLIGATIONS (continued)

 

ERP Operating

   

1.850%, 08/01/2031

  $ 1,066       $ 1,029  

Healthcare Trust of America Holdings

   

3.100%, 02/15/2030

    769       808  

Spirit Realty

   

2.100%, 03/15/2028

    583       580  
   

 

 

 

      4,176  
   

 

 

 

Utilities – 1.7%

 

Aquarion

   

4.000%, 08/15/2024 (B)

    227       244  

Commonwealth Edison

   

3.700%, 08/15/2028

    468       527  

Duke Energy

   

2.400%, 08/15/2022

    150       152  

Duke Energy Florida

   

3.200%, 01/15/2027

    440       477  

Exelon

   

5.625%, 06/15/2035

    343       444  

FirstEnergy

   

4.750%, 03/15/2023

    380       395  

3.350%, 07/15/2022

    330       334  

1.600%, 01/15/2026

    30       30  

National Rural Utilities Cooperative Finance

   

2.850%, 01/27/2025

    1,060       1,119  

Northern States Power

   

7.125%, 07/01/2025

    1,190       1,443  

NSTAR Electric

   

1.950%, 08/15/2031

    1,000       986  

Pacific Gas and Electric

   

2.100%, 08/01/2027

    130       127  

1.750%, 06/16/2022

    100       100  

Public Service Enterprise Group

   

2.875%, 06/15/2024

    713       751  
   

 

 

 

      7,129  
   

 

 

 

Total Corporate Obligations (Cost $88,632) ($ Thousands)

 

    92,370  
   

 

 

 

ASSET-BACKED SECURITIES – 8.1%

 

Automotive – 0.7%

 

Avis Budget Rental Car Funding AESOP, Ser 2020-2A, Cl A

   

2.020%, 02/20/2027 (B)

    440       451  

Avis Budget Rental Car Funding AESOP, Ser 2021-1A, Cl A

   

1.380%, 08/20/2027 (B)

    310       309  

Ford Credit Auto Owner Trust, Ser 2020- REV2, Cl A

   

1.060%, 04/15/2033 (B)

    1,144       1,140  
 

 

12    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

ASSET-BACKED SECURITIES (continued)

 

Hertz Vehicle Financing III, Ser 2021-2A, Cl B

   

2.120%, 12/27/2027 (B)

  $ 160       $ 161  

Hertz Vehicle Financing III, Ser 2021-2A, Cl C

   

2.520%, 12/27/2027 (B)

    300       303  

Hertz Vehicle Financing, Ser 2021-1A, Cl B

   

1.560%, 12/26/2025 (B)

    240       241  

Hertz Vehicle Financing, Ser 2021-1A, Cl C

   

2.050%, 12/26/2025 (B)

    210       212  
   

 

 

 

      2,817  
   

 

 

 

Home – 0.1%

 

Lake Country Mortgage Loan Trust, Ser 2006-HE1, Cl M5

   

3.086%, VAR ICE LIBOR USD 1 Month + 3.000%, 07/25/2034 (B)

    227       229  

Master Asset-Backed Securities Trust, Ser 2007-NCW, Cl A1

   

0.386%, VAR ICE LIBOR USD 1 Month + 0.300%, 05/25/2037 (B)

    177       165  
   

 

 

 

      394  
   

 

 

 

Other Asset-Backed Securities – 7.3%

 

AEP Texas Restoration Funding, Ser 2019-1, Cl A2

   

2.294%, 08/01/2031

    1,646       1,712  

Ameriquest Mortgage Securities Asset- Backed Pass-Through Certificates, Ser 2005-R7, Cl M2

   

0.836%, VAR ICE LIBOR USD 1 Month + 0.750%, 09/25/2035

    66       66  

AMSR Trust, Ser 2020-SFR4, Cl A

   

1.355%, 11/17/2037 (B)

    463       462  

Applebee’s Funding, Ser 2019-1A, Cl A2I

   

4.194%, 06/05/2049 (B)

    297       302  

CF Hippolyta, Ser 2020-1, Cl A1

   

1.690%, 07/15/2060 (B)

    520       527  

CF Hippolyta, Ser 2021-1A, Cl A1

   

1.530%, 03/15/2061 (B)

    590       593  

Citigroup Mortgage Loan Trust, Ser 2007- WFH3, Cl A3

   

0.336%, VAR ICE LIBOR USD 1 Month + 0.250%, 06/25/2037

    43       42  

Corevest American Finance Trust, Ser 2021-1, Cl A

   

1.569%, 04/15/2053 (B)

    514       514  

Countrywide Home Equity Loan Trust, Ser 2006-F, Cl 2A1A

   

0.224%, VAR ICE LIBOR USD 1 Month + 0.140%, 07/15/2036

    206       194  
     
Description  

Face Amount

(Thousands)

 

Market Value

    ($ Thousands)

ASSET-BACKED SECURITIES (continued)

 

DB Master Finance, Ser 2017-1A, Cl A2I

   

3.629%, 11/20/2047 (B)

  $ 424       $ 426  

FirstKey Homes Trust, Ser 2020-SFR2, Cl A

   

1.266%, 10/19/2037 (B)

    894       891  

FirstKey Homes Trust, Ser 2021-SFR1, Cl A

   

1.538%, 08/17/2038 (B)

    795       794  

Hardee’s Funding, Ser 2021-1A, Cl A2

   

2.865%, 06/20/2051 (B)

    399       400  

Invitation Homes Trust, Ser 2018-SFR1, Cl A

   

0.784%, VAR ICE LIBOR USD 1 Month + 0.700%, 03/17/2037 (B)

    1,283       1,284  

Merrill Lynch Mortgage Investors Trust, Ser 2004-WMC5, Cl M1

   

1.016%, VAR ICE LIBOR USD 1 Month + 0.930%, 07/25/2035

    175       176  

MMAF Equipment Finance, Ser 2018-A, Cl A3

   

3.200%, 09/12/2022 (B)

    125       126  

Morgan Stanley ABS Capital I Trust, Ser 2004-NC7, Cl M1

   

0.941%, VAR ICE LIBOR USD 1 Month + 0.855%, 07/25/2034

    383       380  

Navient Student Loan Trust, Ser 2016-3A, Cl A3

   

1.436%, VAR ICE LIBOR USD 1 Month + 1.350%, 06/25/2065 (B)

    387       399  

Navient Student Loan Trust, Ser 2016-6A, Cl A3

   

1.386%, VAR ICE LIBOR USD 1 Month + 1.300%, 03/25/2066 (B)

    550       571  

Oak Street Investment Grade Net Lease Fund, Ser 2021-1A, Cl A1

   

1.480%, 01/20/2051 (B)

    978       976  

Palmer Square CLO, Ser 2021-2A, Cl A1A3

   

1.134%, VAR ICE LIBOR USD 3 Month + 1.000%, 10/17/2031 (B)

    693       693  

Progress Residential Trust, Ser 2019-SFR2, Cl A

   

3.147%, 05/17/2036 (B)

    299       302  

Progress Residential Trust, Ser 2021-SFR2, Cl A

   

1.546%, 04/19/2038 (B)

    597       596  

Progress Residential Trust, Ser 2021-SFR3, Cl A

   

1.637%, 05/17/2026 (B)

    557       559  

RAAC Series Trust, Ser 2005-SP3, Cl M2

   

1.286%, VAR ICE LIBOR USD 1 Month + 1.200%, 12/25/2035

    196       197  

Sabey Data Center Issuer, Ser 2020-1, Cl A2

   

3.812%, 04/20/2045 (B)

    339       357  

Sabey Data Center Issuer, Ser 2021-1, Cl A2

   

1.881%, 06/20/2046 (B)

    1,027       1,027  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021    13

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

ASSET-BACKED SECURITIES (continued)

 

SBA Small Business Investment, Ser 2019-10A, Cl 1

   

3.113%, 03/10/2029

  $ 165       $ 176  

SBA Small Business Investment, Ser 2021-10A, Cl 1

   

1.667%, 03/10/2031

    580       589  

SLC Student Loan Trust, Ser 2010-1, Cl A

   

1.004%, VAR ICE LIBOR USD 3 Month + 0.875%, 11/25/2042

    196       197  

SLM Private Credit Student Loan Trust, Ser 2006-A, Cl A5

   

0.406%, VAR ICE LIBOR USD 3 Month + 0.290%, 06/15/2039

    208       204  

SLM Student Loan Trust, Ser 2003-7A, Cl A5A

   

1.316%, VAR ICE LIBOR USD 3 Month + 1.200%, 12/15/2033 (B)

    115       115  

SLM Student Loan Trust, Ser 2005-8, Cl A5

   

0.295%, VAR ICE LIBOR USD 3 Month + 0.170%, 01/25/2040

    660       645  

SLM Student Loan Trust, Ser 2021-10A, Cl A4

   

0.786%, VAR ICE LIBOR USD 3 Month + 0.670%, 12/17/2068 (B)

    100       100  

SMB Private Education Loan Trust, Ser 2021-A, Cl A2B

   

1.590%, 01/15/2053 (B)

    380       379  

SMB Private Education Loan Trust, Ser 2021-C, Cl B

   

2.300%, 01/15/2053 (B)

    170       170  

Stack Infrastructure Issuer, Ser 2019-1A, Cl A2

   

4.540%, 02/25/2044 (B)

    461       485  

Store Master Funding I-VII, Ser 2018-1A, Cl A1

   

3.960%, 10/20/2048 (B)

    371       383  

Store Master Funding I-VII, Ser 2019-1, Cl A1

   

2.820%, 11/20/2049 (B)

    319       331  

Taco Bell Funding, Ser 2021-1A, Cl A2II

   

2.294%, 08/25/2051 (B)

    593       591  

Tricon American Homes Trust, Ser 2019-SFR1, Cl A

   

2.750%, 03/17/2038 (B)

    271       282  

Tricon American Homes, Ser 2020-SFR1, Cl A

   

1.499%, 07/17/2038 (B)

    530       530  

TRP - TRIP Rail Master Funding, Ser 2021-2, Cl A

   

2.150%, 06/19/2051 (B)

    287       289  

TRP LLC, Ser 2021-1, Cl A

   

2.070%, 06/19/2051 (B)

    498       499  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

ASSET-BACKED SECURITIES (continued)

 

United States Small Business Administration, Ser 2010-20H, Cl 1

   

3.520%, 08/01/2030

  $ 178       $ 191   

United States Small Business Administration, Ser 2011-20B, Cl 1

   

4.220%, 02/01/2031

    160       173  

United States Small Business Administration, Ser 2011-20J, Cl 1

   

2.760%, 10/01/2031

    132       138  

United States Small Business Administration, Ser 2013-20K, Cl 1

   

3.380%, 11/01/2033

    585       627  

United States Small Business Administration, Ser 2014-20F, Cl 1

   

2.990%, 06/01/2034

    675       706  

United States Small Business Administration, Ser 2015-20C, Cl 1

   

2.720%, 03/01/2035

    573       599  

United States Small Business Administration, Ser 2015-20E, Cl 1

   

2.770%, 05/01/2035

    361       379  

United States Small Business Administration, Ser 2015-20K, Cl 1

   

2.700%, 11/01/2035

    389       408  

United States Small Business Administration, Ser 2017-20J, Cl 1

   

2.850%, 10/01/2037

    532       562  

United States Small Business Administration, Ser 2018-20E, Cl 1

   

3.500%, 05/01/2038

    1,061       1,148  

United States Small Business Administration, Ser 2019-25G, Cl 1

   

2.690%, 07/01/2044

    53       56  

United States Small Business Administration, Ser 2021-25H, Cl 1

   

1.450%, 08/01/2046

    1,599       1,570  

Vantage Data Centers, Ser 2020-2A, Cl A2

   

1.992%, 09/15/2045 (B)

    1,000       994  

Wendy’s Funding, Ser 2019-1A, Cl A2I

   

3.783%, 06/15/2049 (B)

    317       335  

Wendy’s Funding, Ser 2021-1A, Cl A2I

   

2.370%, 06/15/2051 (B)

    1,028       1,037  

Wendy’s Funding, Ser 2021-1A, Cl A2II

   

2.775%, 06/15/2051 (B)

    673       685  

Wind River CLO, Ser 2021-3A, Cl A

   

1.262%, VAR ICE LIBOR USD 3 Month + 1.150%, 07/20/2033 (B)

    614       614  
   

 

 

 

      30,753  
   

 

 

 

Total Asset-Backed Securities
(Cost $33,564) ($ Thousands)

 

    33,964  
   

 

 

 

 

 

14    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description    Face Amount
(Thousands)
     Market Value
    ($ Thousands)
 

FOREIGN BONDS — 5.7%

 

Anglo American Capital

     

3.625%, 09/11/2024 (B)

   $ 200          $ 215  

Banco Santander

     

3.125%, 02/23/2023

     200        207  

2.746%, 05/28/2025

     200        210  

1.239%, 04/12/2023

     200        203  

Bank of Montreal MTN

     

1.850%, 05/01/2025

     130        134  

Bank of Nova Scotia

     

1.300%, 06/11/2025

     70        70  

Barclays Bank

     

1.700%, 05/12/2022

     200        201  

BHP Billiton Finance USA

     

2.875%, 02/24/2022

     10        10  

BNP Paribas

     

5.198%, 01/10/2030 (B)

     200        238  

4.705%, 01/10/2025 (B)

     270        292  

4.400%, 08/14/2028 (B)

     200        228  

2.871%, 04/19/2032 (B)

     200        204  

1.675%, 06/30/2027 (B)

     290        289  

BP Capital Markets PLC

     

3.535%, 11/04/2024

     20        21  

BPCE MTN

     

3.000%, 05/22/2022 (B)

     640        651  

Cooperatieve Rabobank UA

     

4.375%, 08/04/2025

     500        554  

3.950%, 11/09/2022

     670        696  

3.875%, 09/26/2023 (B)

     595        634  

Credit Agricole MTN

     

1.907%, 06/16/2026 (B)

     250        255  

Credit Suisse Group

     

4.194%, 04/01/2031 (B)

     250        280  

1.305%, 02/02/2027 (B)

     471        460  

Credit Suisse NY

     

2.950%, 04/09/2025

     250        265  

Daiwa Securities Group

     

3.129%, 04/19/2022 (B)

     50        51  

Danske Bank

     

5.000%, 01/12/2022 (B)

     200        202  

1.226%, 06/22/2024 (B)

     200        202  

Ecopetrol

     

5.375%, 06/26/2026

     140        152  

Equate Petrochemical BV MTN

     

4.250%, 11/03/2026 (B)

     200        220  

2.625%, 04/28/2028 (B)

     230        231  

Glencore Funding

     

4.125%, 05/30/2023 (B)

     890        941  

4.125%, 03/12/2024 (B)

     60        64  

HSBC Holdings PLC

     

4.583%, 06/19/2029

     200        227  

Intesa Sanpaolo

     

5.017%, 06/26/2024 (B)

     200        216  
     
Description    Face Amount
(Thousands)
     Market Value
    ($ Thousands)
 

FOREIGN BONDS (continued)

 

3.375%, 01/12/2023 (B)

     $ 200        $ 207   

3.125%, 07/14/2022 (B)

     200        204  

KazMunayGas National JSC

     

5.375%, 04/24/2030 (B)

     400        472  

Lloyds Banking Group

     

2.858%, 03/17/2023

     434        439  

1.326%, 06/15/2023

     360        362  

Macquarie Bank

     

2.300%, 01/22/2025 (B)

     1,188        1,236  

Macquarie Group MTN

     

4.150%, 03/27/2024 (B)

     495        520  

Mitsubishi UFJ Financial Group

     

3.407%, 03/07/2024

     510        543  

Nacional del Cobre de Chile

     

3.150%, 01/15/2051

     420        387  

NatWest Group

     

4.519%, 06/25/2024

     290        309  

4.269%, 03/22/2025

     200        216  

Nutrien

     

1.900%, 05/13/2023

     501        512  

NXP BV

     

4.625%, 06/01/2023 (B)

     479        509  

2.700%, 05/01/2025 (B)

     40        42  

OCP

     

4.500%, 10/22/2025 (B)

     400        429  

Orbia Advance

     

2.875%, 05/11/2031 (B)

     200        201  

ORIX

     

4.050%, 01/16/2024

     365        393  

Perusahaan Perseroan Persero Perusahaan Listrik Negara MTN

     

5.450%, 05/21/2028 (B)

     370        430  

Petrobras Global Finance BV

     

6.850%, 06/05/2115

     150        155  

Petroleos del Peru

     

4.750%, 06/19/2032 (B)

     400        412  

Prosus MTN

     

3.061%, 07/13/2031 (B)

     410        400  

Royal Bank of Canada MTN

     

1.600%, 04/17/2023

     120        122  

1.150%, 06/10/2025

     70        70  

Santander UK Group Holdings PLC

     

3.571%, 01/10/2023

     200        202  

Shell International Finance BV

     

3.250%, 05/11/2025

     150        162  

3.250%, 04/06/2050

     110        117  

2.875%, 05/10/2026

     90        97  

2.750%, 04/06/2030

     40        42  

2.375%, 04/06/2025

     548        573  

Sinopec Group Overseas Development

     

4.375%, 04/10/2024 (B)

     290        314  
 

 

New Covenant Funds / Quarterly Report /September 30, 2021   15

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

FOREIGN BONDS (continued)

 

SMBC Aviation Capital Finance DAC

   

4.125%, 07/15/2023 (B)

  $ 200       $ 211  

Southern Copper

   

3.500%, 11/08/2022

    130       134  

Standard Chartered

   

0.991%, 01/12/2025 (B)

    670       668  

Suzano Austria GmbH

   

3.125%, 01/15/2032

    510       493  

Swedbank

   

1.300%, 06/02/2023 (B)

    200       203  

Tencent Holdings MTN

   

3.595%, 01/19/2028 (B)

    250       268  

Teva Pharmaceutical Finance BV

   

2.950%, 12/18/2022

    30       30  

Toronto-Dominion Bank MTN

   

1.150%, 06/12/2025

    918       920  

0.750%, 06/12/2023

    130       131  

Toyota Motor

   

1.339%, 03/25/2026

    210       211  

UBS

   

1.750%, 04/21/2022 (B)

    200       201  

UBS Group Funding Jersey

   

4.125%, 04/15/2026 (B)

    634       707  

UBS Group Funding Switzerland

   

4.253%, 03/23/2028 (B)

    250       281  

3.491%, 05/23/2023 (B)

    390       398  

Vale Overseas

   

6.875%, 11/21/2036

    148       197  

6.250%, 08/10/2026

    240       283  
   

 

 

 

Total Foreign Bonds
(Cost $23,169) ($ Thousands)

 

    24,236  
   

 

 

 

SOVEREIGN DEBT — 2.2%

 

Abu Dhabi Government International Bond

   

2.500%, 10/11/2022 (B)

    490       501  

Chile Government International Bond

   

3.100%, 05/07/2041

    260       251  

Colombia Government International Bond

   

5.625%, 02/26/2044

    280       292  

5.200%, 05/15/2049

    310       309  

3.125%, 04/15/2031

    220       206  

Indonesia Government International Bond MTN

   

5.125%, 01/15/2045 (B)

    200       242  

3.850%, 07/18/2027 (B)

    200       222  

3.750%, 04/25/2022

    370       376  

Kuwait International Government Bond

   

3.500%, 03/20/2027 (B)

    210       232  
     
Description   Face Amount
(Thousands)
  Market Value
    ($ Thousands)

SOVEREIGN DEBT (continued)

 

Mexico Government International Bond

   

4.000%, 10/02/2023

    $ 118       $ 126   

3.600%, 01/30/2025

    380       413  

Panama Government International Bond

   

6.700%, 01/26/2036

    190       253  

4.300%, 04/29/2053

    300       317  

Peruvian Government International Bond

   

5.625%, 11/18/2050

    310       419  

3.300%, 03/11/2041

    340       330  

Poland Government International Bond

   

4.000%, 01/22/2024

    450       485  

Province of Quebec Canada

   

2.625%, 02/13/2023

    500       516  

Province of Quebec Canada, Ser A MTN

   

6.350%, 01/30/2026

    1,010       1,216  

Qatar Government International Bond

   

3.250%, 06/02/2026

    620       669  

Russian Foreign Bond - Eurobond

   

7.500%, 03/31/2030

    100       116  

5.875%, 09/16/2043

    400       541  

5.625%, 04/04/2042

    400       518  

Uruguay Government International Bond

   

4.375%, 01/23/2031

    580       671  
   

 

 

 

Total Sovereign Debt
(Cost $8,598) ($ Thousands)

 

    9,221  
   

 

 

 

MUNICIPAL BONDS — 0.9%

 

California — 0.1%

   

San Jose, Financing Authority, RB

   

1.311%, 06/01/2026

    540       542  
   

 

 

 

Michigan — 0.2%

 

Michigan State, Finance Authority, RB Callable 03/01/2024 @ 100

   

2.988%, 09/01/2049 (D)

    755       793  
   

 

 

 

Missouri — 0.2%

 

University of Missouri, System Facilities, RB Callable 10/01/2025 @ 100

   

1.714%, 11/01/2025

    725       745  
   

 

 

 

New Jersey — 0.0%

 

New Jersey State, Transportation Trust Fund Authority, RB

   

2.551%, 06/15/2023

    125       129  
   

 

 

 

New York — 0.2%

 

New York State, Urban Development, RB

   

3.350%, 03/15/2026

    665       726  
   

 

 

 

 

 

16    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

     
Description   Face Amount
(Thousands)
 

Market Value

($ Thousands)

MUNICIPAL BONDS (continued)

   

Wisconsin — 0.2%

   

Wisconsin State, Ser A, RB, AGM

   

5.700%, 05/01/2026

  $ 745     $ 854  
   

 

 

 

Total Municipal Bonds (Cost $3,621) ($ Thousands)

      3,789  
   

 

 

 

U.S. GOVERNMENT AGENCY OBLIGATION — 0.3%

 

FHLMC

   

2.375%, 01/13/2022

    1,090       1,097  
   

 

 

 

Total U.S. Government Agency Obligation (Cost $1,091) ($ Thousands)

 

    1,097  
 

 

 

 

    Shares    

CASH EQUIVALENT — 3.3%

   

SEI Daily Income Trust, Government Fund,Cl F

   

0.010%**

    13,909,161       13,909  
   

 

 

 

Total Cash Equivalent
(Cost $13,909) ($ Thousands)

 

    13,909  
   

 

 

 

Total Investments in Securities — 103.1%
(Cost $427,875) ($ Thousands)

 

  $ 433,774  
   

 

 

 

    Contracts    

PURCHASED OPTIONS* — 0.0%

   

Total Purchased Options (E) (Cost $61) ($ Thousands)

    105     $ 70  
   

 

 

 

WRITTEN OPTIONS* — 0.0%

   

Total Written Options (E)

   

(Premiums Received $62) ($ Thousands)

    (146   $ (63
   

 

 

 

 

 

New Covenant Funds / Quarterly Report /September 30, 2021   17

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Continued)

 

A list of open option contracts held by the Fund at September 30, 2021 are as follows:

 

Description    Number of Contracts   Notional Amount
(Thousands) 
  Exercise Price      Expiration Date      Value
(Thousands)

PURCHASED OPTIONS — 0.0%

 

         

Put Options

            

November 2021, U.S. 10-Year Futures*

     17     $ 8       $132.50        10/16/2021      $ 19  

October 2021, U.S. 10-Year Notes*

     28       8       133.00        10/16/2021        39  
    

 

 

 

       

 

 

 

       16             58  
    

 

 

 

       

 

 

 

Call Options

            

November 2021, U.S. 10-Year Futures*

     30       17       133.00        10/16/2021        3  

November 2021, U.S. 10-Year Futures*

     18       10       133.50        10/16/2021        1  

November 2021, U.S. Bond Futures*

     12       18       161.00        10/16/2021        8  
    

 

 

 

       

 

 

 

       45             12  
    

 

 

 

       

 

 

 

Total Purchased Options

     $ 61           $ 70  
    

 

 

 

       

 

 

 

WRITTEN OPTIONS — 0.0%

            

Put Options

            

November 2021, U.S. 10-Year Futures*

     (25   $ (8     131.00        10/16/21      $ (9

November 2021, U.S. 10-Year Futures*

     (22     (7     132.00        10/16/21        (17

October 2021, U.S. 10-Year Notes*

     (36     (5     132.50        10/16/21        (32
    

 

 

 

       

 

 

 

       (20           (58
    

 

 

 

       

 

 

 

Call Options

            

November 2021, U.S. 10-Year Futures*

     (25     (9     134.00        10/16/21        (1

November 2021, U.S. Bond Futures*

     (16     (16     165.00        10/16/21        (2

November 2021, U.S. Bond Futures*

     (17     (16     164.00        10/16/21        (2

October 2021, U.S. 10-Year Notes*

     (5     (1     132.00        10/16/21         
    

 

 

 

       

 

 

 

       (42           (5
    

 

 

 

       

 

 

 

Total Written Options

     $ (62         $ (63
    

 

 

 

       

 

 

 

Represents Cost

A list of the open futures contracts held by the Fund at September 30, 2021 are as follows:

 

Type of Contract        Number of
    Contracts
    Expiration
     Date     
     Notional Amount
(Thousands)
  Value        
(Thousands)
  Unrealized Appreciation/
(Depreciation) (Thousands)

Long Contracts

           

90-Day Euro$

     41       Jun-2023      $ 10,172     $ 10,170     $ (2

90-Day Euro$

     192       Dec-2023        47,470       47,450       (20

U.S. 2-Year Treasury Notes

     76       Jan-2022        16,735       16,724       (11

U.S. 5-Year Treasury Notes

     328       Jan-2022        40,500       40,260       (240

Ultra 10-Year U.S. Treasury Notes

     78       Dec-2021        11,501       11,330       (171
       

 

 

 

 

 

 

 

 

 

 

 

          126,378       125,934       (444
       

 

 

 

 

 

 

 

 

 

 

 

Short Contracts

           

90-Day Euro$

     (66)       Dec-2021      $ (16,462   $ (16,472   $ (10

U.S. 10-Year Treasury Notes

     (193)       Dec-2021        (25,687     (25,401     286  

U.S. Long Treasury Bond

     (233)       Dec-2021        (37,867     (37,098     769  

U.S. Ultra Long Treasury Bond

     (25)       Dec-2021        (4,916     (4,777     139  
          (84,932     (83,748     1,184  
       

 

 

 

 

 

 

 

 

 

 

 

        $ 41,446     $ 42,186     $ 740  
       

 

 

 

 

 

 

 

 

 

 

 

The futures contracts are considered to have interest rate risk associated with them.

 

18    New Covenant Funds / Quarterly Report /September 30, 2021

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Income Fund (Concluded)

 

Percentages are based on Net Assets of $420,761 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of September 30, 2021.

 

Investment in Affiliated Security.

(A)

Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

(B)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On September 30, 2021, the value of these securities amounted to $68,895 ($ Thousands), representing 16.4% of the Net Assets of the Fund.

(C)

Zero coupon security. The rate shown on the Schedule of Investments is the security’s effective yield at the time of purchase.

(D)

Variable or floating rate security, the interest rate of which adjusts periodically based on prevailing interest rates.

(E)

Refer to table below for details on Options Contracts.

AGM— Assured Guaranty Municipal

Cl — Class

CMO — Collateralized Mortgage Obligation

DAC — Designated Activity Company

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

FRESB — Freddie Mac Small Balance Mortgage Trust

GNMA — Government National Mortgage Association

ICE— Intercontinental Exchange

IO — Interest Only — face amount represents notional amount.

JSC — Joint-Stock Company

LIBOR — London Interbank Offered Rate

LLC — Limited Liability Company

MTN — Medium Term Note

PLC — Public Limited Company

RB — Revenue Bond

Ser — Series

TBA — To Be Announced

UMBS — Uniform Mortgage-Backed Securities

USD — U.S. Dollar

VAR — Variable Rate

The following is a list of the level of inputs used as of September 30, 2021, in valuing the Fund’s investments and other financial instruments carried at value ($ Thousands).

 

Investments in Securities        Level 1    
($)
  

    Level 2    

($)

       Level 3    
($)
       Total
     ($)

Mortgage-Backed Securities

            159,346               159,346  

U.S. Treasury Obligations

            95,842               95,842  

Corporate Obligations

            92,370               92,370  

Asset-Backed Securities

            33,964               33,964  

Foreign Bonds

            24,236               24,236  

Sovereign Debt

            9,221               9,221  

Municipal Bonds

            3,789               3,789  

U.S. Government Agency Obligation

            1,097               1,097  

Cash Equivalent

     13,909                      13,909  
  

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Total Investments in Securities

     13,909        419,865               433,774  
  

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

 

Other Financial Instruments        Level 1    
($)
      Level 2    
($)
       Level 3    
($)
  

    Total    

($)

Purchased Options

     70                     70  

Written Options

     (63                   (63

Futures Contracts*

          

Unrealized Appreciation

     1,194                     1,194  

Unrealized Depreciation

     (454                   (454
  

 

 

 

 

 

 

 

  

 

 

 

  

 

 

 

Total Other Financial Instruments

     747                     747  
  

 

 

 

 

 

 

 

  

 

 

 

  

 

 

 

*Futures contracts are value at the unrealized appreciation (depreciation) on the instrument.

For the period ended September 30, 2021, there were no transfers in or out of Level 3.

For information regarding the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended September 30, 2021 ($ Thousands):

 

Security Description   Value
6/30/2021
  Purchases at Cost   Proceeds from
Sales
  Realized Gain/
(Loss)
  Change in
Unrealized
Appreciation
(Depreciation)
  Value
9/30/2021
  Shares   Dividend Income   Capital Gains

SEI Daily Income Trust, Government Fund, Cl F

  $ 9,145   $ 43,589   $ (38,825)   $ —   $ —   $ 13,909   13,909,161   $ —   $ —
 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

New Covenant Funds / Quarterly Report /September 30, 2021   19

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Balanced Growth Fund

 

 

     

Description

  

Shares

    

Market Value

    ($ Thousands)

 

AFFILIATED INVESTMENT FUNDS — 99.0%

 

Equity Fund — 59.7%

 

New Covenant Growth Fund

     3,771,462        $  223,648    
     

 

 

 

Total Equity Fund
(Cost $99,638) ($ Thousands)

 

  

 

223,648  

 

     

 

 

 

Fixed Income Fund — 39.3%

     

New Covenant Income Fund

     6,180,710        146,977    
     

 

 

 

Total Fixed Income Fund
(Cost $143,588) ($ Thousands)

 

  

 

146,977  

 

     

 

 

 
     
Description    Shares      Market Value
    ($ Thousands)
 

CASH EQUIVALENT — 1.7%

     

SEI Daily Income Trust, Government Fund, Cl F

     

0.010%**

     6,297,164          $ 6,297    
     

 

 

 

Total Cash Equivalent (Cost $6,297) ($ Thousands)

        6,297    
     

 

 

 

Total Investments in Securities — 100.7%
(Cost $249,523) ($ Thousands)

 

     $ 376,922    
     

 

 

 

 

 

Percentages are based on Net Assets of $374,480 ($ Thousands).

 

Investment in Affiliated Security.

**

Rate shown is the 7-day effective yield as of September 30, 2021.

Cl — Class

As of September 30, 2021, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.

For the period ended September 30, 2021, there were no transfers in or out of Level 3.

For information regarding the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2021 ($ Thousands):

 

Security Description    Value 6/30/2021    Purchases at Cost    Proceeds from
Sales
  Realized Gain/
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
  Value 9/30/2021    Shares    Dividend Income    Capital Gains

New Covenant Growth Fund

   $ 227,402    $ 1,616    $ (4,629)   $ 1,207    $ (1,948)   $ 223,648    3,771,462    $ 295    $ —

New Covenant Income Fund

   142,305    5,348         (676)   146,977    6,180,710    568   

SEI Daily Income Trust, Government Fund, Cl F

   3,258    5,979    (2,940)        6,297    6,297,164      
  

 

  

 

  

 

 

 

  

 

 

 

     

 

  

 

Totals

   $ 372,965    $ 12,943    $ (7,569)   $ 1,207    $ (2,624)   $ 376,922       $ 863    $ —
  

 

  

 

  

 

 

 

  

 

 

 

     

 

  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

New Covenant Funds/ Quarterly Report /September 30, 2021    1

SCHEDULE OF INVESTMENTS (Unaudited)

September 30, 2021

New Covenant Balanced Income Fund

 

 

     
Description    Shares      Market Value
    ($ Thousands)
 

AFFILIATED INVESTMENT FUNDS — 99.3%

 

Fixed Income Fund — 64.9%

 

New Covenant Income Fund

     2,385,670        $ 56,731    
     

 

 

 

Total Fixed Income Fund
(Cost $55,271) ($ Thousands)

 

  

 

56,731  

 

     

 

 

 

Equity Fund — 34.4%

 

  

New Covenant Growth Fund

     507,093        30,070    
     

 

 

 

Total Equity Fund
(Cost $11,033) ($ Thousands)

 

     30,070    
     

 

 

 
     
Description    Shares      Market Value
    ($ Thousands)
 

CASH EQUIVALENT — 0.7%

     

SEI Daily Income Trust, Government Fund, Cl F

     

0.010%**

     629,564        $ 630    
     

 

 

 

Total Cash Equivalent
(Cost $630) ($ Thousands)

 

     630    
     

 

 

 

Total Investments in Securities — 100.0%
(Cost $66,934) ($ Thousands)

 

  

  $

87,431  

 

     

 

 

 

 

 

Percentages are based on Net Assets of $87,425 ($ Thousands).

 

Investment in Affiliated Security).

**

Rate shown is the 7-day effective yield as of September 30, 2021.

Cl — Class

As of September 30, 2021, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. GAAP.

For the period ended September 30, 2021, there were no transfers in or out of Level 3.

For information regarding the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended September 30, 2021 ($ Thousands):

 

Security Description    Value 6/30/2021    Purchases at Cost    Proceeds from
Sales
   Realized Gain/
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value 9/30/2021    Shares    Dividend Income    Capital Gains

New Covenant Income Fund

   $ 56,398    $  614    $  (18)    $ —    $ (263)    $ 56,731    2,385,670    $ 220    $ —

New Covenant Growth Fund

   31,375       (1,226)    602    (681)    30,070    507,093    41   

SEI Daily Income Trust, Government Fund, Cl F

   717    2,905    (2,992)          630    629,564      
  

 

  

 

  

 

  

 

  

 

  

 

     

 

  

 

Totals

   $ 88,490    $ 3,519    $ (4,236)    $ 602    $ (944)    $ 87,431       $ 261    $ —
  

 

  

 

  

 

  

 

  

 

  

 

     

 

  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

New Covenant Funds / Quarterly Report /September 30, 2021   1