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MMA Praxis Value Index A (MVIAX)
General Fund Information
MMA Praxis Mutual Funds
1110 North Main Street P.O. Box 483
Goshen IN 46527
(800) 977-2947
www.mmapraxis.com
Category:Domestic Equity Funds
Style:Value
Assets: ($ millions)$22.6

Account min.:$2,500
Reinvest. min.:$100
IRA account min.:$2,500
IRA reinvest min.:100.00
Type:Large-Cap
Expenses:0.94%
Max. defer. load: 
Max. front load:5.25%
Avg. P/E:22.17
Avg. P/B:3.29
Avg. YTM: 
Avg. Coupon Rate: 
Fund Description
The MMA Praxis Value Index Fund seek capital appreciation through a portfolio of stocks intended to parallel the investment performance of the U.S. large cap value equities market. The Fund follows a Christian stewardship investing philosophy and screens against alcohol, tobacco, gambling, abortion products, nuclear energy and weapons manufacturing.
Social Issues08/31/17
Shareholder activism:YES
Community investment:YES
Environment:P
Human rights:P
Employment:P
Products and Services:P
Weapons:X
Animal testing:R
Nuclear power:X
Alcohol, tobacco & gambling:X/X/X
Other:

P = Positive screen: fund seeks companies with a positive record or achievement.
R = Restricted investment: the fund has minimum criteria related to this issue.
X = Exclusionary screen: fund avoids companies involved with this issue.
"-" Fund does not screen for this criteria.
Fund Performance08/31/17
  Fund Return Percentile Rank *
Year to date: 5.46% 82
1 Year: 12.22% 73
Annualized returns:
3 Year: 5.52% 70
5 Year: 12.19% 63
10 Year: 4.02% 87
Since inception: 3.99% 89
Inception date: 05/02/01  
Bear Market: -19.46%  
Bear Market Period:     —      

* Percentile rank compares the performance of a fund to other funds with similar investing goals and styles. Funds with a percentile rank of 10 performed better than 90 percent of their peers. Funds with a percentile rank of 70 performed worse than 69 percent of their peers.
MPT Statistics08/31/17
Alpha 3YR:-3.37
Alpha 5YR:-1.56
Beta 3YR:0.97
Beta 5YR:0.98
R. Squared 3YR:87.94
R. Squared 5YR:89.07
Sharpe 3YR:0.51
Sharpe 5YR:1.21
Std. Dev. 3YR:9.84
Std. Dev. 5YR:9.84
Sector Distribution 
Basic Industries2.17% 
Cap. Goods & Tech.4.81% 
Consumer Cyclicals6.42% 
Consumer Non-Cyclicals5.68% 
Energy8.38% 
Finance51.54% 
Miscellaneous2.71% 
Transportation1.97% 
Utilities16.31% 

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