Annual,
Semi-Annual, and Holdings Reports are available here (as PDF documents) for the
Domini Funds. To view and print the documents online, you’ll need Adobe Acrobat
Reader, version 4.0 or higher. If you don’t have Acrobat Reader, go to www.adobe.com, where you can
download it for free.
If you are unable
to download, view, and print the documents, please call (800) 498-1351 to
request a free paper copy of any of these documents.
Class A
Includes the Domini Social Equity
Portfolio, Domini European Social Equity Portfolio, Domini PacAsia Social
Equity Portfolio, and Domini European PacAsia Social Equity Portfolio.
Investor Class
Includes the Domini Social Equity
Fund, Domini European Social Equity Fund, Domini PacAsia Social Equity Fund,
Domini European PacAsia Social Equity Fund, and Domini Social Bond Fund.
Institutional
For foundations, endowments, nonprofit organizations and other qualified
individuals and corporations. Includes the Domini Institutional Social Equity
Fund.
If you would like a prospectus or shareholder report mailed to you, send
an email to salesinfo@domini.com or contact
your wholesaler.
Download more Domini literature.
Investing internationally involves special risks, such as currency
fluctuations, social and economic instability, differing securities regulations
and accounting standards, limited public information, possible changes in
taxation, and periods of illiquidity.
The Domini
Funds are not insured and are subject to market risks. You may lose money. Some
of the Domini Social Bond Fund's community development investments may be
unrated and carry greater credit risks than its other investments. The Domini
Social Bond Fund currently holds a large percentage of its portfolio in
mortgage-backed securities. During periods of falling interest rates these
securities may prepay the principal due, which may lower the Fund’s return by
causing it to reinvest at lower interest rates.
Please
note that whether a fund is load or no-load, certain fees and
expenses apply to a continued investment, and are described
in each Fund's prospectus.