Portfolio Holdings by Security (As of Deposit Date)

  • Ticker
    Security Description
    Deposit %
  • AAPL
    Apple Inc.
    2.00
  • ADP
    Automatic Data Processing, Inc.
    2.02
  • AEP
    American Electric Power Company, Inc.
    1.99
  • AET
    Aetna Inc.
    2.02
  • ALL
    The Allstate Corporation
    2.00
  • AMGN
    Amgen Inc.
    2.02
  • AXP
    American Express Company
    2.01
  • BA
    The Boeing Company
    2.00
  • BDX
    Becton, Dickinson and Company
    2.04
  • BK
    The Bank of New York Mellon Corporation
    2.02
  • BMY
    Bristol-Myers Squibb Company
    2.00
  • CAH
    Cardinal Health, Inc.
    1.99
  • COF
    Capital One Financial Corporation
    1.97
  • COP
    ConocoPhillips
    1.96
  • CSCO
    Cisco Systems, Inc.
    2.00
  • DIS
    The Walt Disney Company
    2.02
  • ECL
    Ecolab Inc.
    2.02
  • FDX
    FedEx Corporation
    2.05
  • GE
    General Electric Company
    2.00
  • GM
    General Motors Company
    2.03
  • HD
    The Home Depot, Inc.
    1.93
  • IBM
    International Business Machines Corporation
    1.95
  • INTC
    Intel Corporation
    2.00
  • ITW
    Illinois Tool Works Inc.
    1.98
  • JNJ
    Johnson & Johnson
    2.03
  • JPM
    JPMorgan Chase & Co.
    2.00
  • KR
    The Kroger Co.
    1.99
  • LLY
    Eli Lilly and Company
    2.03
  • LMT
    Lockheed Martin Corporation
    2.01
  • MET
    MetLife, Inc.
    1.97
  • MHFI
    McGraw Hill Financial, Inc.
    1.97
  • MMM
    3M Company
    1.98
  • MRK
    Merck & Co., Inc.
    2.00
  • MS
    Morgan Stanley
    2.00
  • NOC
    Northrop Grumman Corporation
    2.03
  • OXY
    Occidental Petroleum Corporation
    1.97
  • PEP
    PepsiCo, Inc.
    1.98
  • PFE
    Pfizer Inc.
    1.98
  • PRU
    Prudential Financial, Inc.
    1.96
  • SBUX
    Starbucks Corporation
    2.00
  • STT
    State Street Corporation
    2.03
  • TMO
    Thermo Fisher Scientific Inc.
    1.98
  • TWX
    Time Warner Inc.
    2.00
  • TXN
    Texas Instruments Incorporated
    2.03
  • UNP
    Union Pacific Corporation
    2.04
  • UPS
    United Parcel Service, Inc.
    1.96
  • UTX
    United Technologies Corporation
    2.02
  • VZ
    Verizon Communications Inc.
    2.00
  • WFC
    Wells Fargo & Company
    2.00
  • WM
    Waste Management, Inc.
    2.02

Consumer Discretionary

  • Ticker
    Security Description
    Deposit %
  • GM
    General Motors Company
    2.03
  • HD
    The Home Depot, Inc.
    1.93
  • SBUX
    Starbucks Corporation
    2.00
  • TWX
    Time Warner Inc.
    2.00
  • DIS
    The Walt Disney Company
    2.02

Consumer Staples

  • Ticker
    Security Description
    Deposit %
  • KR
    The Kroger Co.
    1.99
  • PEP
    PepsiCo, Inc.
    1.98

Energy

  • Ticker
    Security Description
    Deposit %
  • COP
    ConocoPhillips
    1.96
  • OXY
    Occidental Petroleum Corporation
    1.97

Financials

  • Ticker
    Security Description
    Deposit %
  • ALL
    The Allstate Corporation
    2.00
  • AXP
    American Express Company
    2.01
  • BK
    The Bank of New York Mellon Corporation
    2.02
  • COF
    Capital One Financial Corporation
    1.97
  • JPM
    JPMorgan Chase & Co.
    2.00
  • MHFI
    McGraw Hill Financial, Inc.
    1.97
  • MET
    MetLife, Inc.
    1.97
  • MS
    Morgan Stanley
    2.00
  • PRU
    Prudential Financial, Inc.
    1.96
  • STT
    State Street Corporation
    2.03
  • WFC
    Wells Fargo & Company
    2.00

Health Care

  • Ticker
    Security Description
    Deposit %
  • AET
    Aetna Inc.
    2.02
  • AMGN
    Amgen Inc.
    2.02
  • BDX
    Becton, Dickinson and Company
    2.04
  • BMY
    Bristol-Myers Squibb Company
    2.00
  • CAH
    Cardinal Health, Inc.
    1.99
  • LLY
    Eli Lilly and Company
    2.03
  • JNJ
    Johnson & Johnson
    2.03
  • MRK
    Merck & Co., Inc.
    2.00
  • PFE
    Pfizer Inc.
    1.98
  • TMO
    Thermo Fisher Scientific Inc.
    1.98

Industrials

  • Ticker
    Security Description
    Deposit %
  • MMM
    3M Company
    1.98
  • BA
    The Boeing Company
    2.00
  • FDX
    FedEx Corporation
    2.05
  • GE
    General Electric Company
    2.00
  • ITW
    Illinois Tool Works Inc.
    1.98
  • LMT
    Lockheed Martin Corporation
    2.01
  • NOC
    Northrop Grumman Corporation
    2.03
  • UNP
    Union Pacific Corporation
    2.04
  • UPS
    United Parcel Service, Inc.
    1.96
  • UTX
    United Technologies Corporation
    2.02
  • WM
    Waste Management, Inc.
    2.02

Information Technology

  • Ticker
    Security Description
    Deposit %
  • AAPL
    Apple Inc.
    2.00
  • ADP
    Automatic Data Processing, Inc.
    2.02
  • CSCO
    Cisco Systems, Inc.
    2.00
  • INTC
    Intel Corporation
    2.00
  • IBM
    International Business Machines Corporation
    1.95
  • TXN
    Texas Instruments Incorporated
    2.03

Materials

  • Ticker
    Security Description
    Deposit %
  • ECL
    Ecolab Inc.
    2.02

Telecommunication Services

  • Ticker
    Security Description
    Deposit %
  • VZ
    Verizon Communications Inc.
    2.00

Utilities

  • Ticker
    Security Description
    Deposit %
  • AEP
    American Electric Power Company, Inc.
    1.99

Summary

Description
  • Trust Name

    Sustainable Impact Investing, 4

  • Trust Symbol

    SMSIDX

Deposit Data
  • Deposit Date

    11-19-2015

  • Termination Date

    02-22-2017

  • Minimum Investment

    100

  • Distribution Frequency

    Monthly (if any)

  • Initial Public Offer Price

    $10.00

  • Historical 12-Month Dist.*

    0.1978

CUSIP
  • Cash Cusip

    83182N105

  • Reinvest Cusip

    83182N204

  • Fee Cash Cusip

    83182N303

  • Fee Invest Cusip

    83182N402