Archive for September, 2017

2017 August Detailed YTD Performance

Friday, September 22nd, 2017
 YTD 8/31/17
Stable Value Option           1.7%
BlackRock Short Term Investment            0.7%
Cash/CDs            0.8%
Invesco Managed Account            2.0%
Benchmark
BofA Merrill Lynch 91-Day T-Bill            0.5%
Fixed Income Fund            4.7%
Dodge & Cox Core Fund  MF            3.8%
Prudential Core Plus  CIT            5.8%
Western Asset Core  MF            4.8%
SSgA US Fixed Income Index Fund  CIT            3.6%
Benchmark
Barclays Universal Bond            4.0%
Diversified Inflation / Real Return Fund            7.8%
Vanguard Inflation-Protected Securities  MF            2.5%
Vanguard Short TIPS  MF            0.7%
SSgA Inflation-Protected Securities  CIT            2.3%
SSgA Glbal REIT  CIT            7.2%
Frontier Magellan Infrastructure  MF          21.6%
SSgA Natural Resources  CIT            7.5%
SSgA Commodities  CIT          -0.5%
Benchmark
Barclays US TIPS 0-5 Year            0.8%
Large Cap Core Stock Fund          13.3%
Macquarie Large Cap Value  CIT            3.8%
T. Rowe Price Large Cap Growth  MF          25.8%
Columbia Large Cap Contrarian  CIT          13.8%
London Company Large Cap  SA          10.0%
SSgA S&P 500 Index  CIT          12.1%
Benchmark
S&P 500 Index          11.9%
Small / Mid Cap Core Stock Fund          10.5%
Monarch SMID Value  CIT            2.7%
William Blair SMID Growth  MF          18.5%
Atlanta High Quality SMID Cap  MF          11.1%
Brown Small Co. Instl.  MF          18.9%
Brandes Small Cap Value  SA            0.1%
Wellington Mid Cap Core  CIT          12.4%
SSgA Russell 2500 Index Fund  CIT            7.6%
Benchmark
Russell 2500 Index            6.2%
International Stock Fund          18.3%
MFS International Value  MF          18.6%
Artisan Non-US Growth  CIT          23.6%
Lazard Global Managed Volatility  CIT          13.1%
Aberdeen Emerging Markets Equity  CIT          23.8%
Brandes Intl Small Cap  MF            9.5%
SSgA Global All Cap Equity ex-US Index  CIT          19.5%
Benchmark
MSCI ACWI ex US IMI net          19.2%
Income Fund            4.3%
Benchmark
Income Composite Index  3.6%
Conservative Fund            7.2%
Benchmark
Conservative Composite Index  4.9%
Moderate Fund          10.9%
Benchmark  10.0%
Moderate Composite Index
Aggressive Fund          12.8%
Benchmark
Aggressive Composite Index  11.4%