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Fixed  Income Large
Cap Value
Large
Cap Growth
Foreign Small
Company
Portfolio
             
Morningstar
Averages for the Universe
n/a 1.30% -3.03% 1.57% 0.61% n/a
             
Stable
Value Option
2.78%          
Wellington
Core
1.21%          
PRIMCO
GIC
3.20%          
Cash 1.25%          
BGI
– Money Market Index
0.62%          
             
Benchmark            
LB
1-3 yr. Govt./Treas.
0.35%          
             
Equity
Index Option (BGI – US Equity Index)
    -0.31%      
             
Benchmark            
Russell
3000
    -0.32%      
             
Value
Stock Option
  1.11%        
Clipper   -2.89%        
Morgan
Value (separately managed)
  2.97%        
Neuberger
Berman Focus Tr
  -8.93%        
Legg
Mason Spec. Invmt. Trust
  -3.23%        
Neuberger
Berman Regency
  4.95%        
T.
Rowe Price Value
  2.35%        
BGI
– Value Index
  2.54%        
             
Benchmark            
Russell
Price Driven (1000 Value)
  2.47%        
             
Growth
Stock Option
    -3.08%      
Turner
Mid Cap Growth
    -6.77%      
TCW
Galileo Select Equities I
    -2.77%      
Marsico
Focus
    -5.72%      
Wellington
Mid Cap Opportunities
    -0.54%      
BGI
– Growth Index
    -2.97%      
             
Benchmark            
Russell
Earnings Growth (1000 Growth)
    -3.07%      
             
International
Stock Option
      0.36%    
Amer
Cent-20th Cent. Int’l Discovery
      -2.23%    
Amer
Cent-20th Cent. Int’l Growth
      -2.14%    
Templeton
Instl. Foreign
      0.62%    
First
Eagle Overseas I
      5.65%    
Longleaf
Partners Intl.
      3.90%    
             
Benchmark            
MSCI
All Country World Free Ex US
      1.07%    
             
Diversified
Small Company Stock Option
        -0.37%  
Royce
Opportunity
        -0.33%  
Dimensional
U.S. Micro Cap Portfolio
        -1.36%  
State
Street Aurora
        0.13%  
Janus
Small Cap Value Instl.
        1.96%  
Franklin
Small Cap Growth II
        -2.72%  
BGI
– Small Company Index
        -0.65%  
             
Benchmark            
Russell
2000 Total
        -0.43%  
             
Conservative
Model Portfolio
          1.93%
             
Benchmark            
Conservative
Composite Index
          0.64%
             
Moderate
Model Portfolio
          0.68%
             
Benchmark            
Moderate
Composite Index
          0.05%
             
Aggressive
Model Portfolio
          0.13%
             
Benchmark            
Aggressive
Composite Index
          0.01%

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