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CSD Retirement Trust 403(b) Plan

Vanguard Target Retirement Income Inv - VTINX

Monitoring Rating: Pass

Objective

The investment seeks to provide current income and some

capital appreciation. The fund invests in other Vanguard

mutual funds according to an asset allocation strategy

designed for investors currently in retirement. Its indirect bond

holdings are a diversified mix of short-, intermediate-, and

long-term U.S. government, U.S. agency, and investment-grade

U.S. corporate bonds, inflation-protected public obligations

issued by the U.S. Treasury, mortgage-backed and asset-

backed securities, and government, agency, corporate, and

securitized investment-grade foreign bonds issued in

currencies other than the U.S. dollar.

Statistics

Inception Date

10/27/2003

Manager Tenure

3.92

Assets($1000s)

$10,516,436

Net Exp Ratio

0.14

12b-1 Fees

-

Average Mkt Cap($1000s)

$31,596,620

Risk Characteristics

VTINX Cat Avg

3 Yr Std Dev

3.70 4.14

5 Yr Std Dev

3.74 4.22

5 Yr Beta

0.47 1.17

5 Yr Alpha

0.30 1.30

5 Yr Sharpe

1.27 1.00

5 Yr Information Ratio

-1.19 0.58

5 Yr Tracking Error

4.09 2.36

5 Yr Upside Capture

47.02 136.26

5 Yr Downside Capture

40.46 111.37

5 Yr Batting Avg

0.37 0.62

Excess Returns vs. Category/Index

vs DJ US Moderate TR USD

vs Category Avg

5

0

-5

-10

10-Yr

5-Yr

3-Yr

12-Month

3-Month

-1.67

-4.85

-2.48

-4.01

-2.45

1.28

0.58

0.91

0.15

-0.11

Calendar Year Performance

2012

2013

2014

2015

2016

VTINX

8.23

5.87

5.54

-0.17

5.25

Cat Avg

8.59

5.41

4.17

-1.40

5.10

Index

11.92

19.56

9.08

-0.13

9.26

Cat Rank

70

41

14

10

41

Equity- 12 Month Moving Windows: Dec 2006 - Dec 2016

Vanguard Target Reti-

rement Income Inv

Small - Large

2

1

0

-1

-2

Value - Growth

2

1

0

-1

-2

1

0

-1

-

Small Growth

Small Value

Mid Growth

Mid Value

Top Growth

Top Value

Sector Allocation vs. Category

2

0

-2

-4

Technology

Industrials

Energy

Telecom

Utilities

Healthcare

Defensive

Real Estate

Financials

Cyclical

Materials

0.06

0.39

-0.07

-0.67

-0.04

-0.04

0.44

-2.44

0.88

-0.44

0.86

+/-Category Avg

Asset Allocation

Other (0.36%)

Non-US Bonds (18.49%)

US Bonds (48.41%)

Non-US Stocks (11.56%)

US Stocks (18.54%)

Cash (2.64%)