Amana Income Fund

Amana Income Fund: Portfolio Holdings

Top Ten Portfolio Holdings
As of 09/30/2014 Percent of Fund Assets
Nike, Class B 3.1%
Canadian National Railway 3.0%
Microsoft 2.9%
Novartis ADR 2.7%
Illinois Tool Works 2.7%
Bristol-Myers Squibb 2.6%
Eli Lilly 2.6%
PPG Industries 2.5%
Colgate-Palmolive 2.5%
W.W. Grainger 2.4%
Total 27.0%
View the month-end Portfolio Schedule This link opens a new window.
Sector Allocation
Amana Income Fund: Sector Allocation
Industrials 20.3% color box key
Health Care 18.0% color box key
Materials 17.0% color box key
Consumer Staples 14.6% color box key
Technology 9.2% color box key
Consumer Discretionary 7.5% color box key
Energy 7.1% color box key
Communications 1.4% color box key
Utilities 0.8% color box key
Cash and equivalents 4.1% color box key

Sector weightings are shown as a percentage of total net assets.