Fixed Income | Large Cap Value |
Large Cap Growth |
Foreign | Small Company |
Portfolio | |
Morningstar Averages for the Universe |
n/a | -2.22% | -0.02% | -1.73% | -7.27% | n/a |
Stable Value Option |
0.68% | |||||
Wellington Core |
-1.13% | |||||
Wellington Liquid |
-0.83% | |||||
PRIMCO GIC |
0.93% | |||||
Cash | 0.81% | |||||
BGI – Money Market Index |
0.81% | |||||
Benchmark – Merrill Lynch 1-3yr. Govt./Treas. |
0.19% | |||||
Equity Index Option (BGI US Equity Index) |
-0.45% | |||||
Benchmark – Wilshire 5000 |
-0.08% | |||||
Conservative Equity Income Option |
-0.02% | |||||
Federated Stock Trust | -0.98% | |||||
Morgan Core (Separately Managed) |
-0.88% | |||||
Neuberger Berman Focus Tr | 1.04% | |||||
BGI – TAA Index | 0.88% | |||||
Benchmark – Russell Price Driven (1000 Value) |
-0.62% | |||||
Growth Stock Option |
1.26% | |||||
Fidelity Contrafund | 2.01% | |||||
Janus Fund | 3.45% | |||||
MFS Instl. Research Fund | -0.47% | |||||
Vanguard World US Growth | 0.21% | |||||
BGI – Equity Index | 0.95% | |||||
Benchmark – Russell Earnings Growth (1000 Growth) |
1.03% | |||||
International Stock Option |
-0.57% | |||||
Amer Cent-20th Cent. Int’l Discovery |
1.99% | |||||
Amer Cent-20th Cent. Int’l Equity |
-0.42% | |||||
Janus Overseas | 1.34% | |||||
Templeton Instl. Foreign | -3.32% | |||||
Benchmark – EAFE Net DIvs | -2.67% | |||||
Aggressive Growth Stock Option |
-5.99% | |||||
Franklin Small Cap Growth A |
-3.81% | |||||
MFS Instl. Emerging Equities |
-9.56% | |||||
Heartland Value | -6.76% | |||||
DFA US 9-10 Small Co. | -4.28% | |||||
BGI – Extended Market Index |
-5.52% | |||||
Benchmark – Russell 2000 Total |
-6.88% | |||||
Conservative Model Portfolio |
0.31% | |||||
Benchmark – Conservative Composite Index |
-0.03% | |||||
Moderate Model Portfolio |
-0.20% | |||||
Benchmark – Moderate Composite Index |
-0.84% | |||||
Aggressive Model Portfolio |
-1.06% | |||||
Benchmark – Aggressive Composite Index |
-1.69% | |||||
Archive for February, 1999
1999 February
Sunday, February 28th, 1999February 1999
Tuesday, February 23rd, 1999Day | Stable Value | Value Stock | Equity Index | Growth Stock | Intl. Stock | Div. Small Co. Stock | Conserv. Portfolio | Moderate Portfolio | Aggressive Portfolio | TWA Stock |
---|---|---|---|---|---|---|---|---|---|---|
01 | EMPLOYEE 401K AND DAP CONTRIB. PURCHASED ON 2/1/99 | |||||||||
01 | 42.86 | 67.42 | 96.82 | 98.85 | 02.69 | 01.85 | 84.26 | 14.20 | 16.37 | 24.04 |
02 | 42.86 | 65.25 | 94.30 | 95.56 | 02.29 | 99.47 | 83.63 | 13.02 | 14.83 | 24.89 |
03 | 42.86 | 67.59 | 96.88 | 97.97 | 00.73 | 01.23 | 84.29 | 13.86 | 15.85 | 27.19 |
04 | 42.84 | 62.99 | 91.49 | 91.44 | 00.17 | 98.94 | 82.95 | 11.71 | 13.29 | 28.62 |
05 | 42.66 | 61.09 | 89.14 | 87.65 | 99.08 | 96.46 | 82.37 | 10.43 | 11.62 | 32.27 |
08 | 42.91 | 61.66 | 89.96 | 88.73 | 96.32 | 96.54 | 82.62 | 10.47 | 11.53 | 31.43 |
09 | 42.95 | 55.92 | 83.57 | 81.35 | 92.80 | 93.06 | 81.04 | 07.57 | 07.91 | 29.18 |
10 | 42.97 | 56.55 | 84.42 | 83.20 | 91.59 | 91.10 | 81.25 | 07.62 | 07.70 | 29.18 |
11 | 42.97 | 62.75 | 91.32 | 92.00 | 93.68 | 94.40 | 83.00 | 10.64 | 11.36 | 29.18 |
12 | 42.90 | 57.91 | 85.82 | 85.93 | 94.67 | 91.44 | 81.57 | 08.56 | 08.88 | 28.88 |
15 | MARKET CLOSED – HOLIDAY | |||||||||
16 | 43.01 | 60.08 | 87.85 | 88.73 | 94.64 | 90.68 | 82.21 | 09.32 | 09.58 | 27.73 |
17 | 43.07 | 56.05 | 83.70 | 84.34 | 93.28 | 87.44 | 81.16 | 07.46 | 07.17 | 25.69 |
18 | 43.12 | 58.72 | 86.48 | 87.16 | 93.03 | 87.22 | 81.94 | 08.37 | 08.10 | 25.11 |
19 | 43.05 | 59.77 | 87.06 | 87.75 | 92.63 | 87.57 | 82.10 | 08.57 | 08.36 | 27.98 |
22 | 43.14 | 66.62 | 94.09 | 95.09 | 94.67 | 89.79 | 84.01 | 11.44 | 11.74 | 28.84 |
23 | 43.11 | 66.53 | 94.11 | 95.90 | 95.31 | 90.41 | 84.25 | 11.64 | 12.05 | 29.13 |
24 | 43.08 | 62.91 | 90.43 | 92.29 | 95.71 | 89.12 | 82.98 | 10.31 | 10.51 | 29.13 |
25 | 43.02 | 60.83 | 88.48 | 88.92 | 94.87 | 87.70 | 82.40 | 09.21 | 09.16 | 28.56 |
26 | COMPANY DAP CONTRIB. FOR FEB. PURCHASED ON 2/26/99 | |||||||||
26 | 43.08 | 58.73 | 87.01 | 87.17 | 93.71 | 86.83 | 81.97 | 08.43 | 08.17 | 27.99 |
FEBRUARY FUND PERFORMANCE (IN PERCENTAGES) | ||||||||||
0.16% | -3.65% | -3.67% | -4.09% | -3.54% | -7.48% | -1.40% | -2.75% | -3.82% | n/a |