Portfolio 30

Year

Performance %

Holding

Allocation %

# of Holdings

1993

12.81

US Large Company

6

500

1994

-1.10

US Large Company Value

6

211

1995

14.29

US Small Company

3

2,700

1996

9.47

US Small Company Value

3

1,525

1997

8.82

Real Estate

3

105

1998

6.14

International Large Company

2.25

1,289

1999

7.44

International Large Company Value

2.25

532

2000

4.23

International Small Company

1.5

4,640

2001

3.36

International Small Company Value

1.5

2,174

2002

1.19

Emerging Markets

1.5

723

2003

13.70

One-Year Fixed Income

17.5

118

2004

6.97

Two-Year Global Fixed Income

17.5

123

2005

3.86

Five-Year Fixed Income

17.5

18

2006

9.21

Five-Year Global Fixed Income

17.5

116

2007

3.18

Total

100

14,774

2008

-9.17

2009

11.11

90 year Annualized* (all data)

6.38%

2010

7.64

90 year Standard Deviation (all data)

7.54

2011

-0.71

Best Return in 90 yrs (all data)

26.31%

1933

2012

6.34

Worst Return in 90 yrs (all data)

-16.17%

1931

2013

8.22

# of Positive years (all data)

72

2014

2.15

# of Negative years (all data)

18

2015

-0.92

2016

4.30

2017

5.72

*Annualized returns are thru latest calendar year.

YTD**

0.78

**YTD thru September 30, 2018


All returns are reduced by 0.8% per year which represents the largest fee Performance
Investment Group charges. Past performance is no guarantee of future results.


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