MyPlanIQ KJK712

KJK712

This Plan is unrated.
Investment Options
Total Available Funds: 12
Asset Class Ticker Description Rating
Emerging Market
DIVERSIFIED EMERGING MKTS VWO vwo
REAL ESTATE
REAL ESTATE VNQ vnq
INTERNATIONAL EQUITY
Foreign Large Blend EFA efa
COMMODITIES
COMMODITIES BROAD BASKET DBC dbc
Others
Natural Resources IGE ige
FIXED INCOME
Intermediate-Term Bond BND bnd
Short-Term Bond BSV bsv
Inflation-Protected Bond TIP tip
US EQUITY
LARGE BLEND SPY spy
MID-CAP BLEND MDY mdy
SMALL VALUE VBR vbr
Total Available Funds: 12
Asset Class Ticker Description Rating
Emerging Market
DIVERSIFIED EMERGING MKTS VWO vwo
REAL ESTATE
REAL ESTATE VNQ vnq
INTERNATIONAL EQUITY
Foreign Large Blend EFA efa
COMMODITIES
COMMODITIES BROAD BASKET DBC dbc
Others
Natural Resources IGE ige
FIXED INCOME
Intermediate-Term Bond BND bnd
Short-Term Bond BSV bsv
Inflation-Protected Bond TIP tip
WORLD BOND BWX bwx
US EQUITY
LARGE BLEND SPY spy
MID-CAP BLEND MDY mdy
SMALL VALUE VBR vbr
Total Available Funds: 12
  • R*: Redemption (Minimum months to hold).
  • RT: Round Trip (number of times allowed to buy/sell in trailing 12 months).
  • WP: Waiting Period (minimum months to wait before buy again).
  • M*:Mark (p: proxy, n: not used).
Asset Class Ticker Description Rating R* RT WP Expense Yield
Emerging Market
DIVERSIFIED EMERGING MKTS VWO vwo 97% 3 60 0 0.08% 3.51%
REAL ESTATE
REAL ESTATE VNQ vnq 95% 3 60 0 0.12% 4.08%
INTERNATIONAL EQUITY
Foreign Large Blend EFA efa 100% 3 60 0 0.33% 2.9%
COMMODITIES
COMMODITIES BROAD BASKET DBC dbc 94% 3 60 0 0.85% 4.95%
Others
Natural Resources IGE ige 88% 3 60 0 0.41% 2.84%
FIXED INCOME
Intermediate-Term Bond BND bnd 99% 3 60 0 0.15% 3.19%
Short-Term Bond BSV bsv 99% 3 60 0 0.07% 2.56%
Inflation-Protected Bond TIP tip 97% 3 60 0 0.19% 2.76%
WORLD BOND BWX bwx 97% 3 60 0 0.35% 1.72%
US EQUITY
LARGE BLEND SPY spy 100% 3 60 0 0.09% 1.3%
MID-CAP BLEND MDY mdy 100% 3 60 0 0.24% 1.16%
SMALL VALUE VBR vbr 98% 3 60 0 0.06% 2.08%
Average Expense Ratio: 0.24%
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Model Portfolios

Asset Allocation Composite: Click here to see this strategy description
Strategic Asset Allocation with Dynamic Risk Adjustment YTD**
Return
1Yr
AR*
3Yr
AR*
5Yr
AR*
10Yr
AR*
15Yr
AR*
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*     AR: Annualized Return
**   YTD: Year to Date (not annualized)
*** The above portfolios are of moderate risk, which means that more than 40% of assets are in fixed income funds.


Description
This plan consists of 12 funds, some of them are: VBR, MDY, SPY, BSV, BND, IGE.


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