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SFM Social Impact Portfolios

SFM Portfolio
(as of 4/7/2020)
Risk NumberDividend Yield3-Month Return1-Year Return3-Year Avg. Annual ReturnAnnual Portfolio CostStrategy Summary
Conservative SRI383.7%-15.5%-8.2%1.6%0.7%More Info
Moderate SRI492.6%-15.1%-6.1%4.0%0.4%More Info
Aggressive SRI532.4%-14.6%-4.8%4.7%0.4%More Info


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