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Index Data Rolling Periods Top Ten Holdings Returns Matrix Fact Sheet Hi/Lo Comparison Risk/Return Calculator
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^ Please click on a specific implantation strategy to access asset allocation data on ifa.com

 
Index Allocations
 
Indexes* (see links for description)
Allocation %
Number of
Holdings
(see links)**
Wtd Avg Mkt
Cap (in $
millions)**
Wtd Avg
Book to
Market**
 
14
$94,552
0.45
 
14
$40,364
0.87
 
7
$956
0.59
 
7
$1,583
0.82
 
7
281
$7,372
0.69
 
7
$52,441
0.75
 
3.5
$1,356
0.64
 
3.5
$1,415
1.01
 
2.1
$31,544
0.35
 
2.1
$12,815
0.58
 
2.8
$1,320
0.57
 
7.5
na
na
 
7.5
na
na
 
7.5
na
na
 
7.5
na
na
  Total :
**As of February 29, 2008.
Figure 2
  Index Portfolio - Simulated Returns and Volatility Data*
Data Label
1 Mo. ending Dec. 2008
YTD ending Dec. 2008
1 Yr ending 2007
1 Yr ending 2006
1 Yr ending 2005
1 Yr ending 2004
1 Yr ending 2003
3 Yrs 2006- 2008
5 Yrs 2004- 2008
10 Yrs 1999- 2008
20 Yrs 1989- 2008
35 Yrs 1974- 2008
50 Yrs 1959- 2008
81 Yrs 1928- 2008
Growth $1
1.04
0.72
1.03
1.17
1.08
1.15
1.31
0.87
1.09
1.59
4.57
38.78
116.60
1,056.54
Return %
3.72
-27.56
2.70
17.02
8.28
15.37
31.00
-4.52
1.69
4.74
7.89
11.02
9.99
8.98
Risk - SD
-
17.86
8.03
6.59
6.82
7.69
9.01
12.91
11.12
10.64
9.90
10.39
10.28
15.19

Figure 3


Figure 4
Year To Date Returns of IFA Portfolios and Indexes*
  ( Data as of Market Close 1/7/09 )
IFA
Indexfolios
YTD
Return %
0.80% 0.76% 0.72% 0.68% 0.63% 0.59% 0.54% 0.50% 0.45% 0.40% 0.36% 0.31% 0.27% 0.22% 0.18% 0.13% 0.09% 0.04% -0.01% -0.05%
Value*** 4,047 3,360 2,763 2,433 2,114 1,814 1,535 1,284 1,062 866 699 557 439 342 263 200 150 111 82 59
Risk**** 22.65 22.19 21.75 20.61 19.48 18.37 17.28 16.19 15.12 14.06 13.01 11.97 10.94 9.91 8.90 7.90 6.92 5.96 5.04 4.18
 
IFA
Indexes
YTD
Return %
2.54% 1.72% 2.94% 0.91% 0.78% 0.60% 0.49% -0.18% 0.52% 1.04% 0.53% -0.09% -0.10% -0.46% -0.10%
Value*** 48,572 34,293 25,503 22,912 12,945 12,093 3,190 3,014 2,176 1,649 1,212 51 46 52 27
Risk**** 26.45 24.46 24.02 25.47 23.71 25.99 24.82 N/A 22.61 22.68 19.20 3.68 3.09 3.66 1.55
 
Other
Indexes
Sim.
S&P 500
Dow Nasdaq R3000 R2000
YTD
Return %
0.53% -0.08% 1.40% 0.53% -0.47%
Value 1,212 8,770 1,599 523 497
***Index data based on starting value of one, as of Jan 1, 1928. (Calculator). Source: ifa.com/btp, dfaus.com. & yahoo.com
****The risk measure is calculated as the annualized standard deviation of returns for 80 years from 1/1/1928 to 12/31/2007.

* When IFA Indexes are shown in Index Portfolios, all returns data reflects a deduction of 0.9% annual investment advisory fee, which is the maximum IFA fee. Your fee may be less depending on assets under management at IFA. Unless indicated otherwise, data shown for each individual IFA Index is shown without a deduction of the IFA advisory fee.
Figure 5

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Figure 6

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Figure 7
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Index Data Rolling Periods Top Ten Holdings Returns Matrix Fact Sheet Hi/Lo Comparison Risk/Return Calculator
Taxable
Accts
IRA
Accts
Taxable &
IRA Accts
401k/
403b
Plans
Socially
Responsible
Environmentally
Conscious
Core
Allocation
Diversified
Index Managers
Canada
Residents
United Kingdom
Residents
Australia
Residents
^ Please click on a specific implantation strategy to access asset allocation data on ifa.com
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