Fund Summaries

% of Portfolio  Market Value 6/30/25 ($)
UMFTWK Total Fund 100     96,642,294
UMFTWK Index Target
Domestic Equity 41.0      39,663,970
Large Cap Equity 34.5      33,315,151
Parametric Large Growth SRI 17.3         16,766,181
Russell 1000 Growth
Parametric Large Value SRI 17.1    16,548,969
Russell 1000 Value
Mid Cap Equity 1.8       1,752,331
Carillon Eagle Mid Cap Growth Fund 1.8       1,752,331
Russell Midcap Growth Index
Small Cap Equity 4.8       4,596,489
DFA US Small Cap Fund 2.5       2,427,328
Russell 2000
Vanguard Russell 2000 Index Fund ETF 2.2      2,169,161
Russell 2000
International Equity 12.8      12,388,407
Developed Markets 12.8      12,388,407
ARGA International Value Fund 3.9        3,746,843
MSCI ACWI ex USA
Dodge & Cox International Stock Fund 3.7        3,556,564
MSCI EAFE
William Blair International Growth Fd 5.3        5,084,999
MSCI EAFE Growth Index
Fixed Income 36.9        35,617,033
Vanguard Total Bond Market Index Fund 11.3       10,873,461
Blmbg. U.S. Aggregate
Breckinridge Capital Advisors 4.7   4,582,612
Blmbg. Intermed. U.S. Gov/Credit
Richmond Capital Management 19.0          18,361,420
Blmbg. U.S. Aggregate 
iShares iBonds Dec 2025 Term Treas. ETF 0.3          299,849
Blmbg. 1-3 Year Gov/Credit Index
iShares iBonds Dec 2025 Term Corp ETF 0.3          300,297
Blmbg. 1-3 Year Gov/Credit Index
iShares iBonds Dec 2025 Term HY & Inc ETF 0.3          299,641
Blmbg. 1-3 Year Gov/Credit Index
iShares iBonds Dec 2026 Term Treas. ETF 0.3          300,773
Blmbg. 1-3 Year Gov/Credit Index
iShares iBonds Dec 2026 Term Corp ETF 0.3          300,894
Blmbg. 1-3 Year Gov/Credit Index
iShares iBonds Dec 2026 Term HY & Inc ETF 0.3          298,087
Blmbg. 1-3 Year Gov/Credit Index
Alternatives 9.3        8,947,402
Lazard Global Listed Infrastructure 3.9      3,774,702
MSCI World Core Infrastructure Index (Net)
Variant Alternative Income Fund 3.7      3,554,567
HFRX Global Hedge Fund Index
Versus Capital Multi-Mgr Real Estate Fund 0.5 478,842
NCREIF Property Index
Wespath Alternative Asset Fund-I Series 1.2       1,139,291
MSCI ACWI + 2.5%
Cash & Equivalents 0.0   25,482
Cash 0.0     24,971
NETA Cash 0.0    511