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Fund Performance

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Daily Fund Performance

Net-of-Fees (as of 8/19/2026)1
Items Fund
Balanced
Equities
Fixed Income
Current Price Price Change Year to Date
Balanced
Multiple Asset Fund – P Series $59.0308 0.08% 12.03%
Equities
International Equity Fund – P Series $66.8089 0.07% 14.76%
Social Values Choice Equity Fund – P Series $37.6489 0.13% 16.35%
U.S. Equity Fund – P Series $106.5937 0.05% 13.70%
U.S. Equity Index Fund – P Series $43.6551 0.11% 16.13%
Fixed Income
Extended Term Fixed Income Fund – P Series $14.4243 0.35% 18.25%
Fixed Income Fund – P Series $39.0667 0.13% 6.69%
Inflation Protection Fund – P Series $25.3401 0.20% 13.15%
Short Term Investment Fund – P Series $17.4346 0.29% 15.60%
Social Values Choice Bond Fund – P Series $14.4899 0.35% 17.26%
Stable Value Fund – P Series $1.0000 N/A 4.67%
U.S. Treasury Inflation Protection Fund – P Series $14.7740 0.34% 17.71%

Disclosures

1Historical returns are not indicative of future performance. Please refer to the Investment Funds Description – P Series for more information about the Funds. This is not an offer to purchase securities.

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