MyPlanIQ JJJ-INTL-dev+EM-2014

JJJ-INTL-dev+EM-2014

This Plan is unrated.
Investment Options
Total Available Funds: 15
Asset Class Ticker Description Rating
Emerging Market
DIVERSIFIED EMERGING MKTS EEM EEM
China Region FXI FXI
Latin America Stock EWZ EWZ
INTERNATIONAL EQUITY
Foreign Large Blend EFA EFA
Foreign Small/Mid Blend SCZ SCZ
EUROPE STOCK IEV IEV
FIXED INCOME
LONG GOVERNMENT TLO TLO
US EQUITY
SMALL VALUE IWN IWN
Small Growth IWO IWO
LARGE GROWTH IWF IWF
Total Available Funds: 15
Asset Class Ticker Description Rating
Emerging Market
DIVERSIFIED EMERGING MKTS EEM EEM
China Region FXI FXI
Latin America Stock EWZ EWZ
India Equity PIN PIN
INTERNATIONAL EQUITY
Foreign Large Blend EFA EFA
Foreign Small/Mid Blend SCZ SCZ
EUROPE STOCK IEV IEV
PACIFIC/ASIA EX-JAPAN STK EPP EPP
JAPAN STOCK EWJ EWJ
JAPAN STOCK DXJ DXJ
FIXED INCOME
LONG GOVERNMENT TLO TLO
US EQUITY
SMALL VALUE IWN IWN
Small Growth IWO IWO
LARGE GROWTH IWF IWF
LARGE VALUE IWD IWD
Total Available Funds: 15
  • 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 EEM EEM 100% 1 60 0 0.7% 2.63%
China Region FXI FXI 90% 1 60 0 0.74% 3.24%
Latin America Stock EWZ EWZ 52% 1 60 0 0.59% 5.98%
India Equity PIN PIN 29% 1 60 0 0.78% 0.39%
INTERNATIONAL EQUITY
Foreign Large Blend EFA EFA 100% 1 60 0 0.33% 2.9%
Foreign Small/Mid Blend SCZ SCZ 95% 1 60 0 0.4% 2.99%
EUROPE STOCK IEV IEV 93% 1 60 0 0.67% 2.73%
PACIFIC/ASIA EX-JAPAN STK EPP EPP 90% 1 60 0 0.48% 4.21%
JAPAN STOCK EWJ EWJ 32% 1 60 0 0.5% 1.88%
JAPAN STOCK DXJ DXJ 14% 1 60 0 0.48% 2.93%
FIXED INCOME
LONG GOVERNMENT TLO TLO 0% 1 60 0 0.14% 0.22%
US EQUITY
SMALL VALUE IWN IWN 100% 1 60 0 0.24% 2.07%
Small Growth IWO IWO 99% 1 60 0 0.24% 0.7%
LARGE GROWTH IWF IWF 99% 1 60 0 0.19% 0.61%
LARGE VALUE IWD IWD 98% 1 60 0 0.19% 1.95%
Average Expense Ratio: 0.44%
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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*
Click to Create Model Portfolio

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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 15 funds, some of them are: IEV, EPP, EWJ, DXJ, SCZ, EWZ.


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