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Vanguard Instl Trgt Retire 2035 Instl                                    VITFX                                                                                     6/30/2021



                                Fund Incep Date:      Benchmark:                     Category:                   Net Assets:      Manager Name:              Manager Start Date:          Expense Ratio:   Expense Rank:
                                06/26/2015         S&P Target Date 2035              Target-Date 2035            $50,068.00M      William A. Coleman         06/26/2015                          0.09%                 3


                               PORTFOLIO COMPOSITION (Holdings-based)                   INVESTMENT OVERVIEW
                                Assets                                                  The investment seeks to provide capital appreciation and current income consistent with its current asset allocation. The fund invests in other Vanguard mutual
                                                                                        funds according to an asset allocation strategy designed for investors planning to retire and leave the workforce in or within a few years of 2035 (the target year).
                                                  Cash                       0.30%       The fund's asset allocation will become more conservative over time, meaning that the percentage of assets allocated to stocks will decrease while the
                                                  US Stocks                 44.61%       percentage of assets allocated to bonds and other fixed income investments will increase.
                                                  US Bonds                  17.16%
                                                  Non-US Stocks             29.02%
                                                  Preferred Stocks           0.00%       PERFORMANCE
                                                  Convertible Bonds          0.23%
                                                  Other                      0.03%                                               3 Year Rolling Performance (Jun 18-Jun 21)
                                                  Non-US Bonds               8.65%       16
                              Sector Breakdown                                                                                                                                                    5th to 25th Percentile
                                                                                        14                                                                                                        25th to Median
                               Sensitive
                               Communication Services                       9.06%       12                                                                                                        Median to 75th Percentile
                               Industrials                                 11.13%                                                                                                                 75th to 95th Percentile
                               Technology                                  18.70%       10
                                                                                                                                                                                                  Vanguard Instl Trgt
                               Energy                                       3.35%
                                                                                         8                                                                                                        Retire 2035 Instl
                               Cyclical                                                                                                                                                           S&P Target Date 2035
                               Basic Materials                              4.96%        6
                               Consumer Cyclical                           12.00%
                               Real Estate                                  3.64%        4
                               Financial Services                          16.06%
                                                                                         2
                               Defensive
                               Consumer Defensive                           6.69%        0
                               Healthcare                                  11.77%       2/2018           4/2018          2/2019          4/2019           2/2020          4/2020           2/2021
                               Utilities                                    2.65%
                                                                                                                      3M          YTD           1Y           3Y           5Y           7Y          10Y           SI
                               TOP 10 HOLDINGS
                                                                                        Fund                         5.70         9.05       29.34 / 63   12.64 / 43   12.45 / 43                               9.83
                               Vanguard Total Stock Market Idx I           44.87%
                                                                                        Benchmark                    5.45         9.91       30.35 / 48   11.93 / 73   11.82 / 75   8.77 / 62    9.37 / 56
                               Vanguard Total Intl Stock Index Inv         28.84%       Peer Group Median            5.81         9.56       30.02 / 50   12.56 / 50   12.30 / 50   8.92 / 50    9.55 / 50
                               Vanguard Total Bond Market II Idx Inv       18.74%
                                                                                        Number of Funds                                         52           50           41           33           28
                               Vanguard Total Intl Bd II Idx Admiral        7.56%
                                                                                        CALENDAR                    2020       2019        2018        2017       2016        2015       2014        2013       2012
                                                                                        Fund                        14.80      22.56       -6.56      19.14       8.39
                                                                                        Benchmark                   12.79      22.18       -6.88      17.78       8.85        -0.35       5.69       20.84      14.12
                                                                                        Peer Group Median           14.42      22.38       -6.87      18.69       8.26        -1.50       5.75       21.07      14.91


                                                                                         RISK & PERFORMANCE STATISTICS                                     NOTES
                               Total:                                     100.01%
                                                                                                                                          Peer Group
                                                                                        3 Yr                  Fund         Benchmark
                               ASSET LOADINGS  (Returns-based)                                                                              Median
                                                                                        Alpha                  0.96            0.00          0.91
                                        FUND EXPOSURES (WEIGHT) (Jul 18-Jun 21)         Beta                   0.96            1.00          0.97
                                100
                                 75                                                     R-Squared             99.67          100.00         99.10
                                                                                        Sharpe Ratio           0.83            0.76          0.82
                                 50
                                 25                                                     Up Market Capture     98.56          100.00         99.46
                                  0                                                     Down Market Capture   93.67          100.00         95.85
                                                      Current        Average
                                                  Fund     Bmk    Fund     Bmk           5 Yr                  Fund         Benchmark      Peer Group
                                   Cash             0.2    13.4     0.1      7.5                                                             Median
                                   US Bonds        17.1     0.0    16.1      7.5         Alpha                  0.86            0.00          0.49
                                   Intl Bonds       9.7    10.3     8.7      7.0         Beta                   0.97            1.00          0.99
                                   Intl Equity     20.8    21.8    24.1     23.7         R-Squared             99.46          100.00         98.87
                                   US Equity       52.3    54.5    51.1     54.3         Sharpe Ratio           0.99            0.92          0.96
                                                                                         Up Market Capture     99.95          100.00        100.91
                                                                                         Down Market Capture   94.43          100.00         97.63

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