Fixed Income | Large Cap Value |
Large Cap Growth |
Foreign | Small Company |
Portfolio | |
Morningstar Averages for the Universe |
n/a | -13.61% | -11.86% | -13.76% | -7.60% | n/a |
Stable Value Option |
2.74% | |||||
Wellington Core |
-1.05% | |||||
PRIMCO GIC |
2.76% | |||||
CDs | 2.03% | |||||
Dreyfus Government Money Market Index | 1.65% | |||||
Benchmark | ||||||
LB 1-3 yr. Govt./Treas. |
2.49% | |||||
Equity Index Option (BGI – US Equity Index) |
-11.78% | |||||
Benchmark | ||||||
Russell 3000 |
-11.76% | |||||
Value Stock Option |
-11.05% | |||||
Morgan Value (separately managed) |
-16.66% | |||||
CGM Focus | -5.13% | |||||
Goldman Sachs Mid Value Instl. | -7.83% | |||||
Neuberger Berman Partners |
-12.21% | |||||
T. Rowe Price Value |
-9.77% | |||||
BGI – Value Index |
-13.95% | |||||
Benchmark | ||||||
Russell Price Driven (1000 Value) |
-13.88% | |||||
Growth Stock Option |
-11.07% | |||||
Turner Mid Cap Growth |
-14.69% | |||||
Marsico Focus |
-12.66% | |||||
Wellington Mid Cap Opportunities |
-5.84% | |||||
Primecap Odyssey Growth | -9.45% | |||||
T. Rowe Price Growth Stock | -12.37% | |||||
BGI – Growth Index |
-10.81% | |||||
Benchmark | ||||||
Russell Earnings Growth (1000 Growth) |
-10.79% | |||||
International Stock Option |
-16.15% | |||||
Amer Cent-20th Cent. Int’l Discovery |
-16.72% | |||||
Amer Cent-20th Cent. Int’l Growth |
-12.67% | |||||
Templeton Instl. Foreign |
-16.68% | |||||
Oppenheimer Intl Sm Co A | -27.46% | |||||
Thornburg Intl Value R5 | -15.01% | |||||
Marsico Intl Opp | -17.10% | |||||
Dimensional Emerging Markets Value | -14.84% | |||||
Royce International Value | 1.52% | |||||
BGI Eafe Index |
-14.27% | |||||
Benchmark | ||||||
MSCI EAFE Net Divs |
-13.82% | |||||
Diversified Small Company Stock Option |
-8.32% | |||||
Royce Opportunity |
-10.07% | |||||
Dimensional U.S. Micro Cap Portfolio |
-9.51% | |||||
Third Avenue Sm Cap Instl. | -1.41% | |||||
iShares Morningstar Small Growth Index | -10.65% | |||||
Morgan Stanley US Small Cap Value Instl | -4.27% | |||||
BGI – Small Company Index |
-6.14% | |||||
Benchmark | ||||||
Russell 2000 Total |
-6.02% | |||||
Conservative Model Portfolio |
-3.00% | |||||
Benchmark | ||||||
Conservative Composite Index |
-3.64% | |||||
Moderate Model Portfolio |
-6.52% | |||||
Benchmark | ||||||
Moderate Composite Index |
-6.58% | |||||
Aggressive Model Portfolio |
-8.55% | |||||
Benchmark | ||||||
Aggressive Composite Index |
-8.24% |