Portfolio

The Finance and Investments Committee meets regularly with the Foundation’s investment managers to monitor and evaluate investment performance relative to internal, asset class and peer group benchmarks.

As of
December ’25

Year to Date 1 Year to December ’25  3 Year to December ’25 5 Year to December ’25
Corporate Portfolio 14.6%  14.6%  13.6%  7.6%
Corporate Benchmark 17.7% 17.7% 14.9%  7.7%

Website returns are unaudited.

Footnotes:

(1) Investments at Fiducient Advisors as of 12/31/25

Asset Allocation

CFGNB Asset Allocation
Target allocation
Equities: 60%
Fixed Income: 20%
Alternatives: 20%
Cash: 0%
TOTAL 100%