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CSD Retirement Trust 403(b) Plan

Vanguard Institutional Index I - VINIX

Monitoring Rating: Pass

Objective

The investment seeks to track the performance of a

benchmark index that measures the investment return of

large-capitalization stocks. The fund employs an indexing

investment approach designed to track the performance of

the Standard & Poor's 500 Index, a widely recognized

benchmark of U.S. stock market performance that is

dominated by the stocks of large U.S. companies. The advisor

attempts to replicate the target index by investing all, or

substantially all, of its assets in the stocks that make up the

index, holding each stock in approximately the same

proportion as its weighting in the index.

Statistics

Inception Date

07/31/1990

Manager Tenure

16.08

Assets($1000s)

$211,495,628

Net Exp Ratio

0.04

12b-1 Fees

-

Average Mkt Cap($1000s)

$78,275,410

Risk Characteristics

VINIX Cat Avg

3 Yr Std Dev

10.74 11.12

5 Yr Std Dev

10.36 10.88

5 Yr Beta

1.00 1.01

5 Yr Alpha

-0.02 -1.39

5 Yr Sharpe

1.36 1.19

5 Yr Information Ratio

-2.10 -0.67

5 Yr Tracking Error

0.01 2.53

5 Yr Upside Capture

99.93 96.35

5 Yr Downside Capture

100.09 105.97

5 Yr Batting Avg

0.28 0.43

Excess Returns vs. Category/Index

vs S&P 500 TR USD

vs Category Avg

3

2

1

0

-1

10-Yr

5-Yr

3-Yr

12-Month

3-Month

-0.03

-0.02

-0.03

0.89

1.46

2.04

1.55

-0.04

Calendar Year Performance

2012

2013

2014

2015

2016

VINIX

15.98

32.35

13.65

1.37

11.93

Cat Avg

15.28

32.16

11.38

-0.83

10.38

Index

16.00

32.39

13.69

1.38

11.96

Cat Rank

40

45

17

20

27

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

Vanguard Institution-

al Index I

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

1

0

-1

-2

Technology

Industrials

Energy

Telecom

Utilities

Healthcare

Defensive

Real Estate

Financials

Cyclical

Materials

1.1

-1.07

0.75

0.15

0.46

0.05

-0.17

0.24

-0.32

-0.84

-0.39

+/-Category Avg

Asset Allocation

Other (0.00%)

Non-US Bonds (0.00%)

US Bonds (0.01%)

Non-US Stocks (0.40%)

US Stocks (99.08%)

Cash (0.51%)