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Instuitional Investor - Ronald Blue & Co Llc

Fund Profile
Filing Period:
Fund Name: Ronald Blue & Co Llc
Portfolio Value $3,102,623,000
Fund Holdings Sector Distribution
Top 13F Holdings
Filing Period:
No. Security Ticker Shares Value (x$1000) % Port
Vident International Equity Fu
24,869,897 $635,426 20.48%
Vident Core Us Bond Strategy
10,328,139 $511,656 16.49%
Vident Us Equity
15,877,631 $473,391 15.25%
4. VWO 4,983,024 $274,764 8.85%
Ishares Core Msci Pacific
4,569,324 $247,429 7.97%