Skip to content
Faith Foundation Northwest
A hiker on a mountain trail looking out toward the Matterhorn under sweeping clouds — bold, values-driven ambition.
All portfolios
Fossil Free · Aggressive

Fossil Free Aggressive Portfolio

The Fossil Free Aggressive Portfolio uses a blend of 70% equities and 30% fixed income instruments. Its equity allocation tracks the MSCI World index, while excluding companies whose share prices are based on proven reserves and Palestinian conflict companies. This allocation offers slightly higher volatility and greater expected long-term returns than the Foundation’s other fossil-free options. It is designed for accounts with long time horizons such as permanent endowments.
Lower riskHigher risk
ConservativeModerateAggressive
Talk to a strategist →View all portfolios

Designed for:endowment · long-term reserves · perpetual foundation funds

70% equities / 30% fixed income

Fossil free

MSCI World index tracking

Excludes Palestinian conflict stocks

Faith-screened

Holdings

Underlying funds and investments in this portfolio.

Asset Class

Asset Allocation70/30
Equities70%
Fixed Income30%

By Fund

Holdings AllocationSocial Values Choice Equity Fund I-Series: 70%Social Values Choice Bond Fund I-Series: 20%US Treasury Inflation Protection Fund I-Series: 10%100%
Social Values Choice Equity Fund I-Series70%
Social Values Choice Bond Fund I-Series20%
US Treasury Inflation Protection Fund I-Series10%
Fund / HoldingAsset ClassAllocation

Social Values Choice Equity Fund I-Series

Tracks the MSCI World index while excluding fossil fuel companies and conflict stocks.

US Equity70%

Social Values Choice Bond Fund I-Series

Faith-screened fixed income with ESG criteria.

Fixed Income20%

US Treasury Inflation Protection Fund I-Series

Treasury inflation-protected securities for purchasing power preservation.

Inflation Protection10%

Performance

Annualized returns (net of fees) as of April 30, 2026

1 MOYTD1 YR3 YR5 YR10 YR
6.58%3.62%17.68%14.53%7.61%

Returns by period

1 MO
YTD
1 YR
3 YR
5 YR
10 YR

Returns shown are annualized.

Important Disclosures

Past performance does not guarantee future results. Investment returns and principal value will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. The portfolio excludes companies that: derive more than 10% of their revenue from gambling or from the manufacture, sale or distribution of alcoholic beverages, tobacco-related products, adult entertainment, weapons, the management or operation of prison facilities; companies whose share prices are based on proven fossil fuel reserves; and four companies profiting from the ongoing occupation of Palestine (HP, Motorola, Caterpillar, and Palantir).