Performance and Allocation

Asset Allocation as of September 30, 2011

Asset Class
Assets at Market Actual Target Variance
Domestic Equities $508,943,794 54.5% 55.0% -0.5%
International Equities 98,412,807 10.6% 10.0% 0.6%
Fixed Income 325,644,085 34.9% 35.0% -6.3%
Total $933,000,686 100.0% 100.0% 0.0%

 

Q3Bar_Chart

 

Investment Performance for Period Ending September 30, 2011

Total Fund Curr Qtr 1 Yr 3 Yr 5 Yr 7 Yr 10 Yr 15 Yr
Gross of Fees -12.19% 0.73% 4.59% 1.81% 3.66% 4.59% 5.20%
Net of Fees -12.27% 0.38% 4.26% 1.57% 3.43% 4.38% 5.02%
Policy Index* -10.00% 1.47% 4.83% 2.11% 3.85% 4.67% 5.90%

 

The Fund is expected to exceed the Policy Index over rolling four quarters. The current Policy Index is:

  • 25% S&P 500 Index
  • 20% Russell MidCap Index
  • 10% Russell 2000 Index
  • 10% MSCI EAFE Index
  • 35% Barclays Aggregate Index

 

The Fund is expected to exceed the actuarial target return of 7.75% over a complete market cycle of approximately 5 years.

 

Name Curr Qtr 1 Yr 3 Yr 5 Yr 7 Yr 10 Yr 15 yr
Total Fund
Net of Fee -12.27 0.38
4.26
1.57
3.43
4.38 5.02
Policy Index -10.00 1.47 4.83 2.11 3.85 4.67 5.90
Total Domestic Equity Composite
Net of Fee -19.80 -3.22 0.20 -2.12 1.74 3.28
DJ Wilshire 5000 -15.04 0.58 1.49 -0.75 2.87 3.83
Decatur Capital - LCG
Net of Fee -13.73





Russell 1000 Growth -13.14





Holland Capital - LCG
Net of Fee -11.95





Russell 1000 Growth -13.14





PNC Capital - LCG
Net of Fee -13.34 5.01




Russell 1000 Growth -13.14 3.78




Alliance Bernstein - LCC
Net of Fee -23.70 -7.25
1.49
-2.07
1.17
3.33

Standard & Poors 500 -13.86 1.15
1.23
-1.18
2.29
2.81

Herndon Capital - LCC
Net of Fee -15.08 5.37




Russell 1000 Value -13.86 1.15




Graham & Dodd - LCV
Net of Fee -19.95





Russell 1000 Value -16.21





Lombardia Capital - LCV
Net of Fee -15.98 -3.55 -2.63



Russell 1000 Value -16.21 -1.90 -1.52



NorthPointe Capital - LCV
Net of Fee -17.68





Russell 1000 Value -16.21





UBS Asset Management - LCV
Net of Fee -19.07 -5.49 -4.39



Russell 1000 Value -16.21 -1.90 -1.52



Name Curr Qtr 1 YR 3 Yr 5 Yr 7 Yr 10 Yr 15 yr
Wellington Management Co - MCG
Net of Fee -26.36 -7.40 1.86



Russell MidCap Growth -19.33
0.80 5.89



Wellington Management Co -Midcap Opp
Net of Fee -22.56 -7.05




S&P Midcap 400 -19.88 -1.28




Ariel Investments - MCV
Net of Fee -23.43 -6.37
4.69 0.66
3.06

Russell Midcap Value -18.47 -2.36 1.98 -0.84 4.47

Systematic Financial - MCV
Net of Fee -22.08 -5.22 1.89



Russell Midcap Value -18.47 -2.36 1.98



UBS Asset Management - SCG
Net of Fee -20.02 4.58 3.02



Russell 2000 Growth -22.26 -1.14 2.06



Opus Capital - SCV
Net of Fee -17.81 -3.19





Russell 2000 Value -21.47 -6.00




Wasatch - SCV
Net of Fee -18.36 3.95 5.83 -0.34 3.35

Russell 2000 Value -21.47 -6.00 -2.79 -3.08 1.99

Total International Equity Composite
Net of Fee -14.05 1.69 0.71



MSCI EAFE (Net)
-19.01 -9.36 -1.13



Hexavest
Net of Fee -15.95





MSCI World Ex-US (Net) -19.01





Vontobel Intl
Net of Fee -12.34





MSCI World Ex-US (Net) -19.01





Name Curr Qtr 1 YR 3 Yr 5 Yr 7 Yr 10 Yr 15 yr
Total Fixed Income Composite
Net of Fee 3.86 5.27 7.80 5.97 5.18 5.45
Barclays U.S. Aggregate 3.82 5.26 7.97 6.53 5.57 5.67
State Street - Fixed Income
Net of Fee 3.78 5.24 8.01 6.60 5.63 5.74
Barclays U.S. Aggregate 3.82 5.26 7.97 6.53 5.57 5.67
Northern Trust - Fixed Income
Net of Fee 4.03 5.31 8.09 6.10 5.27 5.46
Barclays U.S. Aggregate 3.82 5.26 7.97 6.53 5.57 5.67
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