>But at the margins, why not include social responsible funds in the
>mix? It's better than nothing.
Have you looked at what they have in their portfolio?
Here are the top 10 holdings in the KLD index <http://www.kld.com/benchmarks/topten.html>:
1. Microsoft Corporation
2. Johnson & Johnson
3. Intel Corporation
4. American International Group, Inc.
5. Procter & Gamble Company
6. J.P. Morgan Chase & Co.
7. Cisco Systems, Inc.
8. Wells Fargo & Company
9. Verizon Communications
10. Dell, Inc.
At least they seem to have dropped Wal-Mart. But it was there 5-7 years ago.
Doug