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- Domini International Social Equity Fund Class A
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Domini International Social Equity Fund
Investor Shares Overview
The Domini International Social Equity Fund helps you access a world of investment opportunity, while using your investment dollars to encourage corporate responsibility. Investments in companies across Europe, the Asia-Pacific region, and throughout the rest of the world let you take advantage of broad international diversification with the convenience of one mutual fund.
Download a Prospectus in PDF.
Fund Highlights
All data as of 03/31/2012.
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Symbol: DOMIX
Fund Type Diversified mid- to large-cap international stocks, socially screened.
Inception Date: 12/27/2006
Initial Sales Fee None (no-load) |
Fund Net Assets $134.7 Million
Expense Ratio1 1.60% annually
Dividends Semi-annual
Capital Gains Annual
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Minimum Initial Investment $2,500 ($1,500 for IRAs) $1,500 Automatic investment plan
Newspaper Listings N/A
CUSIP Number 257132704
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Investment Objective Investment Strategy Subject to these standards, Wellington Management Company, LLP, the Fund’s subadvisor, seeks to add value using a diversified quantitative stock selection approach, while managing risk through portfolio construction. Management Subadvisor: Wellington Management Company, LLP. Shareholder Activism
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Social and Environmental Standards Domini evaluates the Fund’s potential investments against its social and environmental standards based on the businesses in which they engage, as well as on the quality of their relations with key stakeholders, including communities, customers, ecosystems, employees, investors, and suppliers. Domini may determine that a security is eligible for investment even if a corporation’s profile reflects a mixture of positive and negative social and environmental characteristics. Investor Profile
Who Should Not Invest: Investors unwilling or unable to accept moderate to significant fluctuations in share price. |
1For the period reported in its current prospectus, during which net operating expenses were capped by the Fund’s Manager, the Fund’s gross annual operating expenses were estimated to total 1.70% of net assets. Until November 30, 2012, the Fund’s Manager has contractually agreed to waive certain fees and/or reimburse certain expenses, including management fees, so that expenses paid by the Fund will not exceed, on a per annum basis, 1.60% of its average daily net assets representing Investor shares, absent an earlier modification by the Board of Trustees, which oversees the Funds.
Past performance is no guarantee of future results.
The Domini International Social Equity Fund is not insured and is subject to market risks. 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. You may lose money. Although the Fund’s Investor shares are no-load, certain fees and expenses apply to a continued investment and are described in the prospectus. The composition of the Fund’s portfolio is subject to change.
The Domini Funds maintain portfolio holdings disclosure policies that govern the timing and circumstances of disclosure to shareholders and third parties of information regarding the portfolio investments held by the Funds.

