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36

Morningstar

Analyst Rating

Morningstar

Rating

Total Return %

02-28-15

Total Return %

Category Rank

12-

Mo

Yld

%

Stand-

ard

Devia-

tion

(R²)

Risk

Relative

to

Category

vs.Category

5

Best

A N N U A L I Z E D

1

Best, 100

Worst

YTD 1 Yr

3 Yr

5 Yr 10 Yr YTD 1 Yr 3 Yr 5 Yr 10 Yr

Historical Performance

Historical Risk

Allocation (cont’d)

— 2.2 5.0 7.4 7.7 4.9 — — — — — — 6.16 (75)

PIMCO Inflation Response MultiAsst Instl PIRMX

ˇ

TV

Q

3.6 1.3 0.0 — — 24 70 92 — — 8.5 6.81 (31)

Avg

T. Rowe Price Balanced RPBAX

MA

QQQQ

3.5 7.7 11.4 11.2 7.1

4 45 26 17 17 1.9 6.82 (96)

+Avg

T. Rowe Price Capital Appreciation PRWCX

Œ

MA

QQQQQ

3.1

13.0

14.8

13.5 8.9

14 1 1 2 2 1.3 5.97 (86)

-Avg

T. Rowe Price Personal Strat Growth TRSGX

AL

[QQQQ

4.0

8.1 13.6 13.2 7.6

5 35 12 5 7 1.4 8.82 (95)

+Avg

T. Rowe Price Personal Strat Income PRSIX

CA

QQQQQ

2.5 5.3 8.2 8.8 6.5 13 32 15 15 8 1.9 5.28 (95)

+Avg

T. Rowe Price Retirement 2015 TRRGX

Œ

TD

QQQQQ

2.8 6.6 9.6 10.1 6.7 13 19 4 1 1 1.8 6.54 (98)

High

Vanguard Balanced Index Adm VBIAX

Œ

MA

QQQQ

2.2 10.4 11.7 11.7 7.3 73 11 22 11 11 1.9 5.72 (92)

-Avg

Vanguard LifeStrategy Income Inv VASIX

Œ

CA

QQQ

1.7 6.5 5.2 6.0 4.9 69 13 74 79 59 2.0 2.88 (48)

Low

Vanguard Managed Payout Investor VPGDX

— AL

[QQ

2.7 7.0 9.4 10.1 — 81 52 89 77 — 3.7 6.74 (97)

Low

Vanguard STAR Inv VGSTX

MA

QQQQ

3.0 8.3 11.2 10.9 7.1 18 35 29 26 16 2.1 6.52 (98)

Avg

Vanguard Target Retirement 2025 Inv VTTVX

Œ

TG

QQQQ

2.9 8.7 11.1 10.9 6.5 54 3 14 19 14 1.9 7.0 (99)

Avg

Vanguard Tax-Managed Balanced Adm VTMFX

— CA

QQQQQ

1.8 9.4 10.3 10.2 6.7 61 1 1 3 5 2.0 4.8 (89)

Avg

Vanguard Wellesley Income Inv VWINX

Œ

CA

QQQQQ

1.4 7.7 8.5 9.6 7.2 84 6 11 7 2 3.1 3.93 (71)

-Avg

Vanguard Wellington Inv VWELX

Œ

MA

QQQQQ

1.8 10.3 12.5 11.7 8.1 86 13 11 10 6 2.4 6.1 (93)

-Avg

Wasatch Long/Short Investor FMLSX

´

LO

QQQ

0.5 -1.1 5.9 7.2 6.0 77 80 59 46 40 0.9 8.47 (68)

Avg

Westwood Income Opportunity Instl WHGIX

— MA

QQQQ

1.2 9.0 9.6 10.4 — 96 25 62 37 — 1.6 5.38 (74)

Low

U.S. Specialty Funds

AllianzGI Technology Institutional DRGTX

ST

QQQQ

4.2 9.9 19.1 18.3 11.3 66 58 17 13 23 0.0 14.0 (50)

Avg

Cohen & Steers Realty Shares CSRSX

´

SR

QQQQ

3.4 23.2 15.2 16.7 9.8 21 36 20 59 17 2.1 13.29 (15)

Avg

Davis Financial A RPFGX

´

SF

QQQQ

0.1 14.7 16.6 12.9 5.5 31 3 45 13 19 0.6 10.65 (71)

Low

Fidelity Real Estate Investment Port FRESX

´

SR

[QQQ

3.0 23.3 14.9 17.6 8.9 40 31 28 20 44 1.6 13.54 (12)

+Avg

Fidelity Select Energy Portfolio FSENX

— EE

QQQQ

1.9 -11.2 1.1 5.8 6.5 31 22 24 7 17 0.9 16.9 (56)

Avg

Fidelity Select Health Care Portfolio FSPHX

— SH

QQQQ

8.6 25.4 36.0 27.5 15.7 35 22 26 20 27 0.0 12.56 (38)

Avg

Fidelity Select Technology Portfolio FSPTX

— ST

QQQ

5.6 10.0 15.4 16.6 10.5 29 57 54 33 42 0.1 12.49 (50)

-Avg

Franklin Utilities A FKUTX

Œ

SU

[QQQ

-2.9

14.8 14.0 14.6 9.5 73 10 34 23 35 2.7 11.79 (6)

Avg

Harbor Commodity Real Return ST Instl HACMX

BB

QQQQ

1.1 -23.6 -11.9 -3.0 — 2 65 49 19 — 4.4 14.04 (80)

+Avg

Oppenheimer Gold & Special Minerals A OPGSX

SP

QQ

8.2 -21.9

-26.8 -12.6

2.6 78 84 83 67 42 2.1 34.04 (6)

Avg

PIMCO Commodity Real Ret Strat D PCRDX

BB

QQQ

0.7

-23.7

-12.2 -3.2

-1.4

15 68 57 24 37 0.2 14.03 (79)

+Avg

T. Rowe Price Global Technology PRGTX

— ST

QQQQQ

7.3 26.4 23.1 22.7 14.5

5 13 2 1 1 0.0 13.87 (55)

Avg

T. Rowe Price Health Sciences PRHSX

— SH

QQQQQ

11.0 30.1 37.0 29.9 18.9

15 4 21 12 8 0.0 13.29 (36)

+Avg

T. Rowe Price Media & Telecommunications PRMTX

´

SC

QQQQ

4.9 5.8 18.7 19.5 15.1 78 75 1 1 1 2.2 11.53 (67)

+Avg

T. Rowe Price New Era PRNEX

ˇ

SN

]QQQQ

2.1 -8.2 0.6 3.6 5.2 51 30 27 26 48 1.0 14.76 (64)

Avg

T. Rowe Price Real Estate TRREX

Œ

SR

QQQQ

3.4 23.4 15.0 17.6 9.3 20 30 25 20 34 2.2 12.71 (18)

Avg

T. Rowe Price Science & Tech PRSCX

— ST

QQQ

5.7 15.0 15.6 16.4 9.8 26 24 47 43 59 0.0 14.48 (59)

+Avg

Third Avenue Real Estate Value Instl TAREX

Œ

GR

QQQQQ

4.1 13.3 16.6 14.6 7.1 68 64 1 4 22 1.5 9.15 (71)

Low

Vanguard Energy Inv VGENX

Œ

EE

QQQQ

1.0 -14.0 -1.5 3.9 6.5 43 46 40 34 15 2.1 15.65 (65)

Low

Vanguard Health Care Inv VGHCX

Œ

SH

QQQ

7.0 23.8 29.6 21.7 13.4 74 42 54 47 44 0.8 9.72 (52)

Low

Vanguard Precious Metals and Mining Inv VGPMX — SP

QQQQ

6.0 -15.1 -22.2 -9.5 0.7 96 15 6 16 70 0.0 23.03 (20)

Low

Vanguard REIT Index Adm VGSLX

Œ

SR

QQQQ

2.9 22.6 15.4 17.7 9.5 45 49 16 16 26 3.5 13.55 (12)

High

Morningstar 500

Domestic Equity

BarCap US Agg Bond TR USD

1.1 5.2 2.7 4.2 4.6

Dow Jones Moderate Portfolio Index

2.5 6.1 8.8 9.5 6.6

S&P 500 Index

2.6 15.4 17.9 16.1 7.9

AL

Aggressive Allocation

BB

CommoditiesBroadBasket

CA

Conservative Allocation

EE

Equity Energy

GR

Global Real Estate

IH

World Allocation

LO

Long-Short

MA

Moderate Allocation

NE

Market Neutral

SC

Communications

SF

Financial

SH

Health

SN

Natural Resources

SP

Equity Precious Metals

SR

Real Estate

ST

Technology

SU

Utilities

TA

Target-Date 2000-2010

TD

Target Date 2011-2015

TE

Target Date 2016-2020

TG

Target Date 2021-2025

TH

Target Date 2026-2030

TI

Target Date 2031-2035

TJ

Target Date 2036-2040

TK

Target Date 2041-2045

TL

Target Date 2050+

TV

Tactical Allocation

RI

Retirement Income

Categories

Legend

E

New this month

][

Increase/decrease in rating

NR

No Morningstar Rating; fund

less than three years old.

Red

Lowest return in group

Green

Highest return in group

Italic

Extended performance