CSD Retirement Trust 403(b) Plan
Vanguard Target Retirement 2010 Inv - VTENX
Monitoring Rating: Pass
Objective
The investment seeks to provide capital appreciation and
current income consistent with its current asset allocation.
The fund invests in other Vanguard mutual funds according to
an asset allocation strategy designed for investors planning to
retire and leave the workforce in or within a few years of 2010
(the target year). Its asset allocation will become more
conservative over time, meaning that the percentage of assets
allocated to stocks will decrease while the percentage of
assets allocated to bonds and other fixed income investments
will increase.
Statistics
Inception Date
06/07/2006
Manager Tenure
3.92
Assets($1000s)
$5,624,133
Net Exp Ratio
0.14
12b-1 Fees
-
Average Mkt Cap($1000s)
$31,568,360
Risk Characteristics
VTENX Cat Avg
3 Yr Std Dev
4.17 5.07
5 Yr Std Dev
4.49 5.21
5 Yr Beta
1.33 1.45
5 Yr Alpha
-0.78 -1.52
5 Yr Sharpe
1.29 1.07
5 Yr Information Ratio
0.42 0.12
5 Yr Tracking Error
2.00 2.94
5 Yr Upside Capture
123.79 129.43
5 Yr Downside Capture
138.91 163.34
5 Yr Batting Avg
0.58 0.55
Excess Returns vs. Category/Index
vs DJ US Target 2010 TR USD
vs Category Avg
2
1
0
-1
10-Yr
5-Yr
3-Yr
12-Month
3-Month
-0.37
0.84
-0.13
1.16
0.56
0.97
0.2
0.57
-0.64
-0.45
Calendar Year Performance
2012
2013
2014
2015
2016
VTENX
10.12
9.10
5.93
-0.20
5.22
Cat Avg
10.30
9.64
4.56
-1.16
5.86
Index
7.79
6.70
6.92
0.35
4.06
Cat Rank
64
74
10
7
79
Equity- 12 Month Moving Windows: Dec 2006 - Dec 2016
Vanguard Target Reti-
rement 2010 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
1
0
-1
-2
Technology
Industrials
Energy
Telecom
Utilities
Healthcare
Defensive
Real Estate
Financials
Cyclical
Materials
-0.52
0.13
-1.32
-0.05
-0.25
0.2
-0.62
0.8
-0.23
0.73
+/-Category Avg
Asset Allocation
Other (0.34%)
Non-US Bonds (18.30%)
US Bonds (47.38%)
Non-US Stocks (12.07%)
US Stocks (19.26%)
Cash (2.65%)