Performance and Allocation

Asset Allocation as of December 31, 2011

Asset Class
Assets at Market Actual Target Variance
Domestic Equities $561,227,699 56.8% 55.0% 1.8%
International Equities 104,228,807 10.6% 10.0% 0.6%
Fixed Income 321,763,971 32.6% 35.0% -2.4%
Total $987,220,477 100.0% 100.0% 0.0%

 

4qallocation

 

Investment Performance for Period Ending December 31, 2011

Total Fund Curr Qtr 1 Yr 2 Yr 3 Yr 5 Yr 10 Yr 15 Yr
Gross of Fees 7.65% 0.06% 7.84% 12.81% 2.45% 4.72% 5.41%
Net of Fees 7.56% -0.29% 7.48% 12.44% 2.20% 4.50% 5.23%
Policy Index* 7.69% 1.99% 8.32% 12.97% 2.72% 4.75% 6.09%

 

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 2 Yr 3 Yr 5 Yr 10 Yr 15 yr
Total Fund
Net of Fee 7.56 -0.29 7.48 12.44 2.20 4.50 5.23
Policy Index 7.69 1.99 8.32 12.97 2.72 4.75 6.09
Total Domestic Equity Composite
Net of Fee 11.98 -4.20 7.24 15.08 -1.13 3.19
DJ Wilshire 5000 12.02 0.98 8.77 14.93 0.12 3.80
Decatur Capital - LCG
Net of Fee 12.60





Russell 1000 Growth 10.60





Holland Capital - LCG
Net of Fee 9.71





Russell 1000 Growth 10.60





PNC Capital - LCG
Net of Fee 9.76 3.17




Russell 1000 Growth 10.60 2.63




Alliance Bernstein - LCC
Net of Fee 8.87 -13.95 4.03 16.67 -1.09 3.12
Standard & Poors 500 11.82 2.12 8.39 14.10 -0.25 2.92
Herndon Capital - LCC
Net of Fee 6.91 -0.32 8.91



Russell 1000 Value 11.82 2.12 8.39



Graham & Dodd - LCV
Net of Fee 12.28





Russell 1000 Value 13.11





NorthPointe Capital - LCV
Net of Fee 12.48



Russell 1000 Value 13.11



UBS Asset Management - LCV
Net of Fee 10.92 -5.51

2.57

9.10


Russell 1000 Value 13.11 0.39

7.68

11.55



LSV Asset Management - LCV
Net of Fee



Russell 1000 Value



Name Curr Qtr 1 YR 2 Yr 3 Yr 5 Yr 10 Yr 15 yr
Wellington Management Co - MCG
Net of Fee 16.39 -6.83 8.26


22.26




Russell MidCap Growth 11.23 -1.66 11.49

22.06




Wellington Management Co -Midcap Opp
Net of Fee 11.54 -8.15




S&P Midcap 400 12.99 -1.73




Ariel Investments - MCV
Net of Fee 12.87 -6.08 6.39 22.53 1.76

Russell Midcap Value 13.36 -1.38 10.93 18.20 0.04

Systematic Financial - MCV
Net of Fee 13.71 -4.88 9.28
17.09



Russell Midcap Value 13.36 -1.38 10.93
18.20



UBS Asset Management - SCG
Net of Fee 12.33 -1.83 16.33 21.82


Russell 2000 Growth 14.99 -2.92 11.94 19.00


Opus Capital - SCV
Net of Fee 16.89 -0.73 12.01



Russell 2000 Value 15.97 -5.50 8.47



Wasatch - SCV
Net of Fee 12.54 -1.62 10.08 24.24 0.42

Russell 2000 Value 15.97 -5.50 8.47 12.36 -1.87

Total International Equity Composite
Net of Fee 5.78 0.23 3.86 10.54


MSCI EAFE (Net)
3.33 -12.14 -2.70 7.65


Hexavest
Net of Fee 4.23





MSCI World Ex-US (Net) 3.51





Vontobel Intl
Net of Fee 7.12





MSCI World Ex-US (Net) 3.51





Name Curr Qtr 1 YR 3 Yr 5 Yr 7 Yr 10 Yr 15 yr
Total Fixed Income Composite
Net of Fee 1.10 7.80 7.10 6.92 5.95 5.56
Barclays U.S. Aggregate 1.12 7.84 7.19 6.77 6.50 5.78
State Street - Fixed Income
Net of Fee 1.13 7.77 7.22 6.82 6.58 5.84
Barclays U.S. Aggregate 1.12 7.84 7.19 6.77 6.50 5.78
Northern Trust - Fixed Income
Net of Fee 1.04 7.86 6.83 7.07 6.06 5.56
Barclays U.S. Aggregate 1.12 7.84 7.19 6.77 6.50 5.78
  • Increase
  • Decrease
  • Reset