Skip to content
Menu
About
Team
News
Contact Us
Investing
What is the UUCEF?
Why Invest in the UUCEF?
How the Fund Works
How to Invest
Investment Objectives
Investment Policies and Guidelines
Managing Investment Risk
Investing Documents
Reports
Monthly Market Commentary
Performance
Holdings & Community Investments
Forms and Online Statements
Investment Committee Reports
Audited Financial Reports
Values Investing
About SRI
History
Investment Screening
Community Investing
Proxy Voting
Community Investment Guidelines & Policy
Login
Search
2026
Nov 26, 2025
October 2025, Net Asset Value $14.0271
Nov 18, 2025
October 2025
Nov 12, 2025
September 4, 2025
Oct 30, 2025
September 2025
Oct 27, 2025
September 2025, Net Asset Value $13.7370
Sep 24, 2025
August 2025, Net Asset Value $13.4329
Sep 20, 2025
August 2025
Sep 09, 2025
July 2025, Net Asset Value $13.3284
Sep 04, 2025
July 2025
Posts pagination
Previous
1
2
Search for:
Close
October 2025