Berkshire Taconic Community Foundation

Berkshire Taconic Community Foundation - [image: Children Cross Country Skiing]
Investments

Investment Pools and Performance

Investment Returns

Current Market Review

As of June 30, 2010
Pool
Q2 2010
YTD 2010
1 Year Return
3 Year Return
5 Year Return
Managed Pool
–5.2
–1.9
14.1
–2.1
3.7
Income Pool
2.6
5.2
11.9
9.3
N/A
Money Market
0.0
0.0
0.0
1.7
N/A
SRI Pool
–6.3
–2.7
9.6
N/A
N/A
S & P 500
–11.4
–6.7
14.4
–9.8
–0.8

Managed Pool

Managed Pool Current Performance
6.06% 14-year annual return*

Created for the bulk of our funds’ assets and structured on the premise that a bias toward quality equity investments will ensure the best total return over time, although it may be more volatile over the short-term. As of June 30, 2010, the asset mix in our Managed Pool was 4.8% cash, 16.4% fixed income, 17.8% domestic equities, 26.2% international equities, 28.4% alternatives and 6.4% real assets.

Performance
2009
27.2%
2008
-26.0%
2007
9.9%
2006
13.7%
2005
6.64%
2004
13.13%
2003
18.34%
2002
- 10.59%
2001
- 4.85%
2000
- 0.85%
1999
14.12%
1998
12.30%
1997
19.35%
1996
13.60%
1995
17.78%

Income Pool

Income Pool Current Performance
5.15% 7-year annual return*
Appropriate for funds where minimizing risk and not being subject to short-term equity volatility is important. This pool does not take advantage of potential long-term equity growth. As of Dec. 31, 2008, the average annual investment manager fee is 0.43% and the allocation is 100% fixed income and cash equivalents.

Money Market Pool

Money Market Pool Current Performance
3.25% 10-year average annual return*
Accommodates funds that are generally short term in nature and are focused on investment of capital with minimal risk. The return fluctuates with daily money market rates. The investment manager fee is 0.24% for this pool.

Socially Responsible Investment (SRI) Pool

SRI Pool Current Performance
0.2% five-year annual return*
Created in March 2008 for those individuals or organizations that want fund assets invested in a socially responsible manner and are willing to forgo annual return potential to take advantage of the social aspects of this investment. The portfolio uses a balanced approach with approximately 60% invested in equities and 40% in bonds. The investment management fee is 1%.

* Net of investment manager fee
NOTE: Past performance is no guarantee of future returns