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May 1998
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Models
Day |
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 05/01/98 |
01 |
35.81 |
49.02 |
69.79 |
51.25 |
00.87 |
25.31 |
72.85 |
00.33 |
06.69 |
43.36 |
04 |
35.88 |
49.66 |
70.11 |
51.86 |
03.34 |
25.81 |
73.04 |
00.84 |
07.38 |
41.40 |
05 |
35.88 |
48.45 |
68.55 |
50.34 |
02.76 |
24.89 |
72.67 |
00.20 |
06.57 |
43.06 |
06 |
35.94 |
46.99 |
66.28 |
47.92 |
02.64 |
24.02 |
72.21 |
99.42 |
05.61 |
40.77 |
07 |
35.96 |
45.35 |
64.08 |
45.41 |
00.78 |
22.73 |
71.72 |
98.38 |
04.26 |
41.92 |
08 |
35.96 |
47.49 |
66.98 |
48.27 |
01.60 |
24.22 |
72.39 |
99.52 |
05.69 |
41.92 |
11 |
35.98 |
47.25 |
66.40 |
48.16 |
03.15 |
22.82 |
72.30 |
99.45 |
05.57 |
42.49 |
12 |
36.05 |
48.78 |
68.06 |
49.79 |
01.87 |
22.75 |
72.78 |
99.92 |
06.01 |
42.76 |
13 |
36.10 |
49.00 |
68.70 |
50.74 |
01.22 |
22.94 |
72.93 |
00.11 |
06.19 |
45.19 |
14 |
36.10 |
48.77 |
68.25 |
50.69 |
00.67 |
22.36 |
72.84 |
99.92 |
05.91 |
47.67 |
15 |
36.12 |
47.28 |
66.19 |
48.89 |
00.54 |
20.82 |
72.38 |
99.15 |
04.92 |
46.31 |
18 |
36.22 |
45.97 |
65.15 |
48.34 |
97.93 |
18.66 |
72.14 |
98.41 |
03.78 |
45.43 |
19 |
36.23 |
46.92 |
66.20 |
50.19 |
99.66 |
19.56 |
72.42 |
99.13 |
04.72 |
46.57 |
20 |
36.29 |
48.51 |
67.65 |
51.30 |
02.36 |
18.55 |
72.87 |
99.82 |
05.52 |
45.43 |
21 |
36.28 |
47.76 |
66.75 |
50.31 |
03.67 |
18.12 |
72.65 |
99.60 |
05.30 |
44.56 |
22 |
36.32 |
47.07 |
65.50 |
49.04 |
03.94 |
16.57 |
72.41 |
99.12 |
04.66 |
45.12 |
25 |
MARKET CLOSED – HOLIDAY |
26 |
36.44 |
44.13 |
61.52 |
45.18 |
04.02 |
13.38 |
71.59 |
97.64 |
02.74 |
46.83 |
27 |
36.49 |
42.56 |
60.57 |
44.95 |
00.24 |
10.91 |
71.29 |
96.74 |
01.37 |
46.25 |
28 |
36.49 |
44.35 |
62.23 |
45.76 |
00.46 |
13.06 |
71.76 |
97.46 |
02.34 |
47.94 |
29 |
COMPANY DAP CONTRIB. FOR MAY PURCHASED ON 5/29/98 |
29 |
36.55 |
43.36 |
61.04 |
44.64 |
00.88 |
13.39 |
71.51 |
97.18 |
02.04 |
48.51 |
|
|
MAY FUND PERFORMANCE (IN PERCENTAGES) |
|
0.57% |
-1.39% |
-2.54% |
-1.92% |
0.94% |
-5.05% |
-0.44% |
-1.10% |
-1.68% |
n/a |
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