Page 335 - DCAC February 2024 Files
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Vanguard Target Ret 2030 12/31/23

 PEER GROUP ANALYSIS - IM Mixed-Asset Target 2030 (MF)  RISK VS. RETURN (5 YEARS*)
 20.0                  10.0

 15.0
                        8.0

 10.0                 Return (%)
 Return                  6.0

 5.0
                        4.0

 0.0
                        2.0
                          3.0     6.0    9.0    12.0   15.0    18.0
 -5.0
                                       Risk (Standard Deviation %)
 Last  Year  1  3  5  7  10
 Quarter  To Date  Year  Years  Years  Years  Years    Standard
                                                  Return
 ¢ £  Vanguard Target Ret 2030  9.53 (36)  16.03 (5)  16.03 (5)  2.66 (32)  8.37 (32)  7.45 (25)  6.58 (13)  Deviation
 ˜   Vanguard Target 2030 Composite Index  9.51 (38)  16.26 (5)  16.26 (5)  3.05 (17)  8.83 (7)  7.81 (9)  6.92 (4)  ¢ £  Vanguard Target Ret 2030  8.37  13.16
                           ˜   Vanguard Target 2030 Composite Index  8.83  12.99
 Median  9.33  14.36  14.36  2.33  8.01  7.02  5.93  ¾  Median  8.01  13.05
 CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS
 2022  2021  2020  2019      2018           2017          2016
 Vanguard Target Ret 2030  -16.27 (51)  11.38 (52)  14.10 (35)  21.07 (32)  -5.86 (38)  17.52 (34)  7.85 (32)
 Vanguard Target 2030 Composite Index  -15.71 (41)  11.66 (44)  14.98 (18)  21.34 (26)  -5.72 (35)  17.66 (30)  8.11 (26)
 IM Mixed-Asset Target 2030 (MF) Median  -16.21  11.46  12.85  20.13  -6.34  16.91  7.31

 ASSET ALLOCATION  UP/DOWN CAPTURE (01/01/19 - 12/31/23)
 150.0
 Equities  61.4%  125.0
 Up Capture  100.0
 Fixed Income  36.2%
 Other
 2.3%  75.0
 Cash  0.1%  50.0
 50.0  65.0     80.0      95.0     110.0     125.0     140.0  150.0
 Convertibles  0.0%
                          Down Capture
 0.0%  20.0%  40.0%  60.0%  80.0%
 Vanguard Target Ret 2030
 *If less than 5 years, data is since inception of fund share class.

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