Institutions

We provide customized impact investing solutions to a broad range of institutional clients including foundations, religious organizations, pension funds, insurance companies, defined contribution and defined benefit plans, and non-profits. We offer fixed income and liquid alternative strategies.

Fixed Income

Mutual Fund

  • CRA Qualified Investment Fund Institutional Shares: CRANX

Market-rate bond fund investing in high credit quality, fossil fuel free fixed income securities whose proceeds are designed to positively impact communities throughout the United States. Clients can customize their investments within the Fund to support specific geographies or impact themes and receive quarterly impact reports with quantitative data and qualitative research.

Learn More

 

Separate Accounts

  • Core
  • Short Duration
  • Long Duration
  • Mortgage-Backed Securities
  • Taxable Municipals

Separate account strategies invest in high credit quality, fossil fuel free bonds whose proceeds are designed to positively impact communities throughout the United States. Variations exist within strategies for duration, hedging, and sector focus. Clients can customize their investments to support specific geographies or impact themes and receive quarterly impact reports with quantitative data and qualitative research.

Learn More

Liquid Alternative

Mutual Fund

  • CCM Alternative Income Fund: CCMNX

Income-driven absolute return strategy that seeks low correlations to conventional stock and bond markets while integrating environmental, social and governance (ESG) criteria.

Learn More

Check the firm’s background on FINRA’s BrokerCheck.

Community Capital Management is an investment adviser registered with the Securities and Exchange Commission under the Investment Advisers Act of 1940. The CRA Qualified Investment Fund and the CCM Alternative Income Fund are distributed by SEI Investments Distribution Co. (SIDCo), 1 Freedom Valley Dr., Oaks, PA 19456. SIDCo is not affiliated with Community Capital Management. Investing involves risk, including possible loss of principal. Bonds and bond funds are subject to interest rate risk and will decline in value as interest rates rise. High yield bonds involve greater risks of default or downgrade and are more volatile than investment grade securities, due to the speculative nature of their investments. The CCM Alternative Income Fund uses investment techniques that are different from the risks ordinarily associated with equity investments. Such techniques and strategies include hedging risks, merger arbitrage risks, derivative risks, short sale risks, leverage risks, commodities risk, and foreign investment risks, which may increase volatility and may increase costs and lower performance. Commodities can be highly volatile and the use of leverage may accelerate the velocity of potential losses.

Carefully consider the Funds’ investment objectives, risks, charges, and expenses. This and other information can be found in the Funds’ prospectuses which can be obtained by calling 866-202-3573. Please read them carefully before investing.