SANDIA CORPORATION SAVINGS AND INCOME PLAN
Investment Model Portfolios

Total Available Funds: 9
Asset Class Ticker Description
INTERNATIONAL EQUITY
Foreign Large Blend ACWX BTC ACWI XUS INDEX
Foreign Large Value TFFAX TEMPLETON FOREIGN AD
US EQUITY
SMALL BLEND DFSTX DFA US SMALL CAP I
LARGE GROWTH FCNKX FID CONTRAFUND K
LARGE GROWTH FGCKX FID GROWTH CO K
LARGE BLEND FUSEX FID US EQ INDX CL 2
LARGE VALUE TILCX TRP INST LG CAP VAL
FIXED INCOME
Intermediate-Term Bond FTHRX FID INTERMED BOND
Intermediate-Term Bond SSBMX SSGA BOND MKT SL L

The following is a moderate-risk model portfolio constructed from the investment options of SANDIA CORPORATION SAVINGS AND INCOME PLAN.

This portfolio is proactively monitored and rebalanced on a monthly basis when needed, ensuring it remains in line with its target allocation. We offer customization features, allowing subscribers to tailor the portfolio to align with their own risk tolerance and return expectations by changing risk profile parameter.

Our model portfolio is rooted in the MyPlanIQ Asset Allocation Composite (AAC) strategy. This dynamic (tactical) asset allocation and quantitative fund selection algorithm prioritize risk management by dynamically adjusting stock allocations based on prevailing asset momentum. Extensive research has shown that this momentum-based tactical approach can potentially reduce temporary losses while maintaining or outperforming traditional buy-and-hold strategies.

Both historical back test and real-time portfolio return and risk data are shown in the table on this page. These metrics are compared with stock and moderate allocation index funds.

Furthermore, subscribers have the option to explore alternative strategies such as Strategic Asset Allocation Optimal (SAA) and Tactical Asset Allocation (TAA) to further customize their model portfolio. See our investment methodology for more details on the investment strategies