Diversification | Investment Variety

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Global Fund

Ticker: CNGLX
Inception Date: 12/03/2002

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Mutual Fund Overview: Invest Internationally

Prime and global emerging markets around the world have potential for investing internationally. In fact, over half of the world’s capitalization exists beyond the U.S. We believe it is strategically sound to invest in mutual funds that include domestic and global markets. Seeking exposure to these markets can provide investors with many benefits including:

• Potential for faster growth;
• Abundant choices;
• Diversified portfolios; and
• Emerging market exposure.

We strive to provide this global investment option so you can bring it home.

Investment Objective

The objective of the Global Fund is to provide long-term capital appreciation and current income. To capture both the United States and global investment exposure, the fund was created. This fund invests in both equities and debt instruments of United States and non-United States entities.

The investment management of the Global Fund seeks to understand the productive capabilities of nations as they produce products and services to not only meet their own needs, but the needs of other countries. Owning companies that produce products and services designed to meet the future needs of people is important to the management of the Fund and allows the fund to be in the pathway of progress through time.

Fund Performance

Review the Global Fund daily, monthly, and quarterly pricing and performance.

Fund Investment Holdings

Holdings as of 3/31/24

SECURITY DESCRIPTION% OF TOTAL NET ASSETS
Netapp Inc4.9%
Group 1 Automoti4.8%
Thermo Fisher4.6%
Apple Inc4.5%
Miller Ind Inc/Tenn4.1%
Nice Systems-Adr4.1%
Siemens Ag-Adr3.9%
Microsoft Corp3.7%
Norfolk Southern3.6%
Chevron Corp3.2%
Astrazeneca-Adr3.0%
Novo-Nordisk-Adr3.0%
Nestle-Adr (Reg)2.9%
Procter & Gamble2.9%
Caterpillar Inc2.6%
Hdfc Bank Ltd - Adr2.6%
Jpmorgan Chase2.5%
Diageo Plc-Adr2.4%
Skyworks Solutio2.3%
Roche Hldgs-Adr2.2%
Unilever Plc-Adr2.1%
Sony Group Corp2.0%
Arkema Sa - Adr1.9%
Shoprite Holdings - Adr1.8%
SECURITY DESCRIPTION% OF TOTAL NET ASSETS
Copa Holdings Sa1.8%
Gjensidige Forsikring1.7%
Amazon.Com Inc1.6%
Taiwan Semiconductor1.6%
James Hardie Ind Plc Adr1.5%
Nidec Corp-Adr1.3%
Electronic Arts1.2%
Pearson Plc1.2%
America Movil Sab De Cv1.1%
Republic Services Inc1.1%
Dentsply Sirona Inc1.0%
Phillips 661.0%
Schlumberger Ltd0.9%
Bp Plc-Adr0.8%
Natural Gas Services0.8%
Totalenergies Se - Adr0.8%
Adobe Sys Inc0.7%
Fedex Corp0.7%
L3Harris Technologies Inc0.7%
Feder-Gt Obl-I 7 MM Fund0.7%
National Grid Plc0.6%
Cf Industries Ho0.5%
Bridgestone Corp Adr0.4%
Haleon Plc0.4%

Portfolio holdings will change due to ongoing management of the Fund. Reference to specific securities or sectors should not be construed as recommendations by the Fund, the advisor, or the distributor.

Distributions

Year End 2023 distributions for the Commonwealth Funds were paid on December 18, 2023 to shareholders of record as of December 14, 2023.  The Ex-Dividend and Reinvest Date was December 15, 2023.  Please see detailed distribution information below.

Ordinary Investment Income Per Share:$0.0000
Short-Term Capital Gain Per Share:$0.0000
Long-Term Capital Gain Per Share:$0.0000

Minimums

The minimum initial investment is $200 and there is no minimum for subsequent investments.

Risk

Learn about the principal risks of investing in the Global Fund, which includes market, foreign security, and geographic risk.