Optimizing Sustainability: Delivering ESG integration in Praxis Equity Index Funds

At Praxis Mutual Funds, impact comes in many forms. Most recently, we’ve combined the benefits of consistent financial performance provided by broad optimized equity indexes with ESG data integration. This process maintains a focus on tracking the public index while overweighting companies with strong ESG metrics and underweighting companies with weaker sustainability profiles.

Client resources

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Performance

Take a closer look at the Praxis Fund family performance.
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Impacting the world

Our core values embrace a wide range of the social concerns that reflect our faith and values as well as traditional, prudent financial considerations.
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Making a difference

Read stories of the impact Praxis is having in communities around the world to learn more about our investing values. You can share links to these stories with clients, or download a PDF of a story for clients.

More great webinars on demand

Praxis webinars are recorded and made available online for easy access. The webinar library includes a brief description of each webinar along with a link to a page that includes the webinar video, presentation slides and links to related resources to share with clients.

If you have suggestions for future webinar topics, let us know!

 

Disclosure

The Praxis Advisor Webinar video and presentation slides are for institutional investor use only. Not for use with retail investors.

As of March 31, 2021, the top ten holdings for the Praxis Growth Index Fund are: Apple 10.20%, Microsoft 9.43%, Amazon 6.40%, Facebook 4.18%, Alphabet Class C 3.52%, Tesla 2.79%, Alphabet Class A 2.53%, NVIDIA 2.00%, PayPal 1.91% and Adobe 1.60%.

As of March 31, 2021, the top ten holdings for the Praxis Value Index Fund are: JPMorgan Chase 3.14%, Disney 2.19%, Johnson Controls 2.11%, Johnson & Johnson 1.94%, Bank of America 1.93%, Intel Corp 1.70%, Verizon 1.66%, AT&T 1.54%, Cisco 1.50%, and Accenture Class A 1.45%. Fund holdings subject to change.

As of March 31, 2021, the top ten holdings for the Praxis Small Cap Index Fund are: GameStop 1.08%, Core Laboratories 0.76%, Macy’s 0.71%, SAIA 0.71%, Crocs 0.62%, WD-40 0.58%, NeoGenomics 0.57%, Insight Enterprises 0.56%, Microstrategy 0.55%, and Hillenbrand 0.53%. Fund holdings subject to change.

As of March 31, 2021, the top ten holdings for the Praxis International Index Fund are: Taiwan Semiconductor 3.05%, Tencent Holdings 2.01%, Alibaba 1.91%, ASML Holding 1.18%, Nestle SA 1.16%, Roche Holding 0.98%, Chunghwa Telecom 0.93%, Equinor ASA 0.90%, Royal Bank of Canada 0.86%, and Infosys Ltd 0.71%. Fund holdings subject to change.

Fund holdings subject to change and are not a recommendation to buy or sell any security. To obtain holdings as of the most previous quarter, visit praxismutualfunds.com.