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GREEN CENTURY MSCI INTERNATIONAL INDEX FUND PORTFOLIO OF INVESTMENTS September 30, 2020 (unaudited)

COMMON STOCKS — 98.5% SHARES VALUE SHARES VALUE — (continued) Japan — 25.1% Company Ltd...... 7,200 $ 180,993 Aeon Company, Ltd...... 16,000 $ 430,414 Corporation...... 4,500 351,838 Company, Inc...... 11,200 229,544 Corporation ...... 53,800 458,273 Corporation ...... 30,900 269,560 Rakuten, Inc...... 21,100 227,521 , Inc...... 45,300 675,269 , Inc...... 51,700 176,133 Benesse Holdings, Inc...... 1,700 43,756 SCSK Corporation ...... 1,400 78,329 Daifuku Co., Ltd...... 2,500 252,343 Sekisui Chemical Company, Ltd. . 8,500 135,960 Dai-ichi Life Holdings, Inc...... 26,500 373,924 SekisuiHouseLtd...... 14,800 262,267 Company Ltd. . . . 41,100 1,261,678 SG Holdings Company Ltd...... 4,000 208,135 Industries Ltd...... 6,100 1,127,123 ...... 13,000 97,866 Industry Company, & Company Ltd...... 6,400 342,555 Ltd...... 13,900 356,498 Sompo Holdings, Inc...... 8,200 283,090 Corporation ...... 10,600 464,617 Corporation...... 30,700 2,352,910 Company, Ltd...... 6,100 557,127 Company Ltd. . . . 3,100 89,339 Ltd...... 4,800 655,765 Company, Hanshin Holdings, Inc.. . 5,500 176,820 Ltd...... 35,700 118,166 Metals Ltd...... 5,200 80,184 Sumitomo Metal Mining Motor Company, Ltd. .... 39,900 947,517 Kansai Paint Company Ltd...... 4,500 111,847 Company, Ltd...... 5,700 176,781 Kao Corp...... 11,700 878,328 Sumitomo Trust Holdings, KDDI Corp...... 39,000 980,911 Inc...... 8,200 218,151 ...... 2,500 154,765 Suntory Beverage & Food Ltd. . . . 3,300 123,926 Corporation...... 3,700 205,253 Sysmex Corporation ...... 4,100 392,296 Bussan Company Ltd...... 1,600 88,114 Ltd...... 4,200 65,135 Komatsu Ltd...... 21,300 467,813 Century Corporation...... 1,200 65,407 Kyushu Railway Company ...... 3,500 74,832 Ltd...... 3,600 940,517 , Inc...... 4,400 106,347 Tokyu Corp...... 12,100 157,038 Miura Company Ltd...... 2,100 103,003 , Inc...... 33,100 151,433 MS&AD Insurance Group West Japan Railway Company . . . 3,900 192,692 Holdings, Inc...... 10,900 293,681 YamahaCorporation...... 3,200 153,475 Company, Yaskawa Electric Corporation .... 6,000 234,739 Corporation. . . 5,400 85,760 Ltd...... 14,000 910,380 NGK Insulators Ltd...... 6,600 94,238 24,441,735 Corporation ...... 7,400 49,933 Company, Ltd...... 2,700 1,530,066 Germany — 13.9% Company, Ltd. . . 1,900 110,871 adidasAG(a)...... 4,622 1,492,665 Nippon Paint Holdings Allianz SE ...... 10,190 1,955,799 Company Ltd...... 3,600 370,607 Beiersdorf AG...... 2,453 278,512 KK ...... 4,000 69,404 Deutsche Boerse AG ...... 4,628 811,397 Corporation ...... 3,800 247,565 Henkel AG & Company KGaA. . . 2,570 240,372 Nomura Real Estate Master Henkel AG & Company Fund, Inc...... 102 127,783 KGaA(b)...... 4,277 447,324 Nomura Research Institute Ltd. . . 7,900 232,612 MerckKGaA...... 3,154 459,837 NTT DOCOMO, Inc...... 27,500 1,010,518

1 GREEN CENTURY MSCI INTERNATIONAL INDEX FUND PORTFOLIO OF INVESTMENTS September 30, 2020 (unaudited) continued

SHARES VALUE SHARES VALUE

Germany — (continued) France — (continued) METRO AG...... 4,286 $ 42,685 Valeo SA ...... 5,567 $ 170,956 Muenchener 7,728,770 Rueckversicherungs-Gesellschaft AG in Muenchen ...... 3,419 869,184 SAPSE...... 25,415 3,957,648 Canada — 7.2% Sartorius AG (b)...... 861 352,908 Agnico Eagle Mines Ltd...... 5,892 469,422 Siemens AG...... 18,632 2,353,061 Bank of Montreal ...... 15,529 907,763 Siemens Energy AG (a)...... 9,316 251,223 Bank of Nova Scotia (The)...... 29,451 1,223,513 Canadian Railway 13,512,615 Company...... 17,333 1,845,894 Canadian Tire Corp. Ltd., Switzerland — 9.3% Class A...... 1,374 138,391 Alcon, Inc. (a) ...... 11,934 676,570 CGI, Inc. (a) ...... 5,612 380,905 Coca-Cola HBC AG...... 5,030 124,202 Cronos Group, Inc. (a) ...... 4,304 21,623 Givaudan SA ...... 224 967,137 First Capital Real Estate Kuehne + Nagel International Investment Trust ...... 2,474 24,079 AG...... 1,305 253,382 Gildan Activewear, Inc...... 4,955 97,641 Lonza Group AG ...... 1,810 1,116,955 Intact Financial Corporation . . . . . 3,476 372,190 Roche Holding AG ...... 13,774 4,717,898 Magna International, Inc...... 6,790 310,690 Sonova Holding AG (a) ...... 1,353 342,852 Metro,Inc...... 6,136 294,404 SwissReAG...... 7,154 530,647 Open Text Corporation...... 6,588 278,441 Swisscom AG ...... 640 339,027 Ritchie Bros Auctioneers, Inc. . . . . 2,662 157,869 9,068,670 Rogers Communications, Inc., Class B ...... 8,766 347,717 WSP Global, Inc...... 2,687 176,443 France — 7.9% 7,046,985 Accor SA (a) ...... 4,797 134,270 AmundiSA(a)(c)...... 1,423 100,301 AXASA...... 46,682 864,003 United Kingdom — 6.8% Carrefour SA...... 14,518 231,988 Associated British Foods PLC . . . . 8,552 205,889 Cie Generale des Etablissements Barratt Developments PLC ...... 25,176 154,395 Michelin SCA...... 4,145 444,963 Berkeley Group Holdings PLC . . . 3,143 171,330 CNP Assurances (a)...... 4,135 51,859 British Land Company PLC Danone SA ...... 14,922 966,590 (The) ...... 21,081 91,900 Gecina SA ...... 1,123 148,043 Burberry Group PLC...... 10,074 201,921 GetlinkSE(a)...... 10,673 144,582 Coca-Cola European Partners JCDecaux SA (a)...... 2,241 38,744 PLC...... 5,105 198,125 L’OrealSA...... 6,104 1,986,454 Compass Group PLC ...... 43,246 649,616 Natixis SA (a) ...... 22,459 50,472 Croda International PLC ...... 3,145 253,688 Orange SA...... 48,591 506,112 InterContinental Hotels Group Schneider Electric SE...... 13,469 1,674,211 PLC(a)...... 4,195 220,193 SEBSA...... 542 88,169 J Sainsbury PLC ...... 41,948 103,279 Unibail-Rodamco-Westfield ...... 3,445 127,053 JD Sports Fashion PLC ...... 10,447 109,051 Johnson Matthey PLC...... 4,834 146,892

2 GREEN CENTURY MSCI INTERNATIONAL INDEX FUND PORTFOLIO OF INVESTMENTS September 30, 2020 (unaudited) continued

SHARES VALUE SHARES VALUE

United Kingdom — (continued) — (continued) Kingfisher PLC...... 50,555 $ 193,642 Mirvac Group ...... 94,436 $ 148,032 Mondi PLC ...... 11,611 245,504 NewcrestMiningLtd...... 19,593 444,276 RELX PLC ...... 46,825 1,042,210 Ramsay Health Care Ltd...... 4,589 218,792 Schroders PLC ...... 2,953 102,555 SEEK Ltd...... 8,075 124,565 SegroPLC...... 29,189 350,773 Stockland...... 57,040 155,820 Taylor Wimpey PLC ...... 91,752 128,299 Sydney Airport...... 31,358 133,158 Unilever PLC ...... 28,445 1,753,687 TransurbanGroup...... 66,466 678,661 Whitbread PLC (a)...... 4,805 131,283 4,566,727 Wm Morrison Supermarkets PLC...... 60,411 132,592 Sweden — 2.4% 6,586,824 Boliden AB ...... 6,724 199,504 Electrolux AB ...... 5,369 125,156 Netherlands — 5.7% Essity AB, Class B (a) ...... 14,784 499,124 Akzo Nobel NV ...... 4,695 474,534 Husqvarna AB B Shares ...... 10,024 110,225 ASML Holding NV ...... 10,358 3,826,033 ICA Gruppen AB ...... 2,519 127,969 Koninklijke DSM NV ...... 4,181 688,337 Skandinaviska Enskilda Banken Wolters Kluwer NV...... 6,636 566,077 AB,ClassA(a)...... 39,764 353,165 Svenska Cellulosa AB SCA, 5,554,981 Class B (a) ...... 14,903 204,311 Svenska Handelsbanken AB A Denmark — 5.1% Shares(a)...... 38,304 320,479 Coloplast A/S, Class B ...... 2,894 458,667 Tele2 AB B Shares ...... 12,009 169,313 GN Store Nord A/S ...... 3,070 231,284 Telia Company AB...... 58,962 241,220 H Lundbeck A/S ...... 1,779 58,594 2,350,466 Novo Nordisk A/S, Class B . . . . . 41,876 2,901,361 Novozymes A/S ...... 5,227 328,529 Pandora A/S...... 2,494 179,912 Hong Kong — 2.3% Vestas Wind Systems A/S ...... 4,773 771,348 BOC Hong Kong Holdings Ltd. . . 88,500 234,611 4,929,695 Hang Seng Bank Ltd...... 18,917 280,249 Hong Kong Exchanges & Clearing Ltd...... 29,320 1,380,186 Australia — 4.7% MTR Corporation Ltd...... 37,167 184,455 ASX Ltd...... 4,732 276,651 Swire Pacific Ltd. A Shares ...... 13,500 65,360 BlueScope Steel Ltd...... 12,037 110,904 Swire Properties Ltd...... 29,400 77,897 Brambles Ltd...... 36,423 276,553 Coca-Cola Amatil Ltd...... 12,142 83,109 2,222,758 Cochlear Ltd...... 1,582 226,012 Coles Group Ltd...... 32,663 397,914 Ireland — 1.4% Dexus ...... 26,025 166,683 CRHPLC(d)...... 51 1,839 Evolution Mining Ltd...... 38,707 161,692 CRHPLC(e)...... 19,018 689,629 Goodman Group ...... 40,222 520,757 DCCPLC...... 2,406 186,251 GPT Group (The)...... 48,176 135,526 Insurance Australia Group Ltd. . . 55,206 174,689 Lendlease Group ...... 16,641 132,933

3 GREEN CENTURY MSCI INTERNATIONAL INDEX FUND PORTFOLIO OF INVESTMENTS September 30, 2020 (unaudited) continued

SHARES VALUE SHARES VALUE

Ireland — (continued) Norway — (continued) Kerry Group PLC, Class A ...... 3,883 $ 497,366 Telenor ASA ...... 17,225 $ 289,187 1,375,085 666,666

Spain — 1.2% — 0.7% Banco Bilbao Vizcaya Argentaria Auckland International Airport SA...... 162,262 450,430 Ltd. (a) ...... 30,178 146,482 Industria de Diseno Textil SA .... 26,454 731,847 Fisher & Paykel Healthcare 1,182,277 Corporation Ltd...... 14,168 312,696 Meridian Energy Ltd...... 30,365 99,868 Ryman Healthcare Ltd...... 9,536 89,590 Singapore — 1.0% 648,636 CapitaLand Ltd...... 62,111 124,176 City Developments Ltd...... 10,600 59,670 DBS Group Holdings Ltd...... 43,849 644,617 Belgium — 0.5% Singapore Exchange Ltd...... 19,300 130,167 KBCGroupNV...... 6,039 302,838 958,630 Umicore SA...... 4,885 203,193 506,031 Finland — 0.8% Elisa Oyj ...... 3,512 206,478 Austria — 0.1% Orion Oyj, Class B...... 2,506 113,541 Erste Group Bank AG (a)...... 6,704 140,387 UPM-KymmeneOYJ...... 12,902 392,704 Wartsila OYJ Abp...... 10,846 85,176 Portugal — 0.1% 797,899 Jeronimo Martins SGPS SA ...... 6,368 102,402 Total Common Stocks Italy — 0.8% (Cost $85,478,128) ...... 95,962,639 Intesa Sanpaolo SpA (a)...... 400,846 754,177 Pirelli & C SpA (a)(c) ...... 9,020 38,649 792,826 SHORT-TERM INVESTMENTS — 0.9% UMB Money Market Fiduciary Account, 0.01% (f) Jersey — 0.8% (Cost $826,100) ...... 826,100 Ferguson PLC...... 5,481 551,544 WPPPLC...... 29,289 230,030 Total Short-term Investments (Cost $826,100) ...... 826,100 781,574 TOTAL INVESTMENTS — 99.4% (Cost $86,304,228) ...... 96,788,739 Norway — 0.7% Other Assets Less Liabilities — 0.6% ...... 626,350 MowiASA...... 10,670 189,840 Orkla ASA...... 18,592 187,639 NET ASSETS — 100.0% $97,415,089

4 GREEN CENTURY MSCI INTERNATIONAL INDEX FUND PORTFOLIO OF INVESTMENTS September 30, 2020 (unaudited) concluded

(a) Non-income producing security. (b) Preference shares. (c) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities are restricted and may be resold in transactions exempt from registration normally to qualified institutional buyers. The total value of these securities is $138,950. (d) Shares of this security are traded on the Stock Exchange. (e) Shares of this security are traded on the Irish Stock Exchange. (f) The rate quoted is the annualized seven-day yield of the fund at the period end.

You should carefully consider the Funds' investment objectives, risks, charges and expenses before investing. To obtain a Prospectus that contains this and other information about the Funds, please click here for more information, email [email protected] or call 1-800-934-7336. Please read the Prospectus carefully before investing.

Stocks will fluctuate in response to factors that may affect a single company, industry, sector, country, region or the market as a whole and may perform worse than the market. Foreign securities are subject to additional risks such as currency fluctuations, regional economic and political conditions, differences in accounting methods, and other unique risks compared to investing in securities of U.S. issuers. Bonds are subject to risks including interest rate, credit, and inflation. A sustainable investment strategy which incorporates environmental, social and governance criteria may result in lower or higher returns than an investment strategy that does not include such criteria.

The Green Century Funds are distributed by UMB Distribution Services, LLC., 235 W Galena Street, Milwaukee, WI 53212.

See Notes to Financial Statements 5