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May 1999
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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 |
03 |
EMPLOYEE 401K AND DAP CONTRIB. PURCHASED ON 5/3/99 |
03 |
44.58 |
86.96 |
15.39 |
07.70 |
09.14 |
04.79 |
90.66 |
21.38 |
24.15 |
26.24 |
04 |
44.57 |
82.89 |
10.90 |
02.34 |
09.78 |
03.82 |
89.51 |
19.78 |
22.51 |
27.33 |
05 |
44.60 |
85.10 |
14.09 |
06.18 |
08.59 |
04.32 |
90.25 |
20.75 |
23.45 |
27.01 |
06 |
44.55 |
81.54 |
10.82 |
02.90 |
10.56 |
03.86 |
89.30 |
19.75 |
22.53 |
26.72 |
07 |
44.55 |
85.13 |
13.68 |
05.29 |
09.71 |
04.40 |
90.17 |
20.72 |
23.50 |
26.72 |
10 |
44.64 |
84.93 |
13.49 |
04.84 |
10.64 |
05.96 |
90.18 |
20.93 |
23.93 |
25.27 |
11 |
44.62 |
88.25 |
17.11 |
08.92 |
10.14 |
08.15 |
91.09 |
22.33 |
25.53 |
25.27 |
12 |
44.65 |
90.90 |
19.23 |
12.26 |
09.96 |
10.37 |
91.75 |
23.47 |
26.90 |
25.24 |
13 |
44.75 |
91.97 |
20.06 |
11.74 |
11.29 |
11.57 |
92.08 |
23.94 |
27.56 |
25.51 |
14 |
44.64 |
85.44 |
13.15 |
05.26 |
09.85 |
08.74 |
90.20 |
21.20 |
24.48 |
26.57 |
17 |
44.68 |
84.88 |
13.37 |
05.72 |
06.54 |
08.34 |
90.19 |
20.84 |
23.87 |
25.74 |
18 |
44.68 |
84.05 |
12.24 |
05.04 |
08.18 |
08.45 |
89.93 |
20.73 |
23.87 |
25.41 |
19 |
44.73 |
87.37 |
14.91 |
08.29 |
09.03 |
10.40 |
90.77 |
22.09 |
25.48 |
25.11 |
20 |
44.76 |
86.07 |
13.98 |
06.68 |
09.80 |
11.60 |
90.49 |
21.88 |
25.45 |
24.56 |
21 |
44.81 |
83.89 |
12.43 |
04.19 |
09.11 |
12.32 |
90.03 |
21.22 |
24.83 |
24.56 |
24 |
44.89 |
78.46 |
06.71 |
98.14 |
08.13 |
09.86 |
88.61 |
18.97 |
22.26 |
24.54 |
25 |
44.91 |
74.45 |
01.58 |
93.79 |
05.36 |
07.19 |
87.41 |
16.91 |
19.75 |
24.48 |
26 |
44.89 |
78.22 |
05.68 |
97.63 |
04.42 |
07.47 |
88.44 |
18.14 |
20.94 |
23.92 |
27 |
44.85 |
74.48 |
01.24 |
94.18 |
02.85 |
06.71 |
87.33 |
16.57 |
19.23 |
23.92 |
28 |
COMPANY DAP CONTRIB. FOR MAY PURCHASED ON 5/28/99 |
28 |
44.89 |
78.07 |
05.70 |
97.82 |
03.23 |
08.87 |
88.42 |
18.16 |
21.06 |
24.20 |
31 |
MARKET CLOSED – HOLIDAY |
|
|
MAY FUND PERFORMANCE (IN PERCENTAGES) |
|
0.26% |
-1.40% |
-1.86% |
-2.13% |
-2.73% |
2.74% |
-0.53% |
-0.74% |
-0.61% |
n/a |
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