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Vanguard Small Cap Index I  VSCIX                                       6/30/2021



 Fund Incep Date:      Benchmark:     Category:     Net Assets:     Manager Name:    Manager Start Date:    Expense Ratio:  Expense Rank:
 07/07/1997  Russell 2000 Index  Small Blend   $137,725.00M   William A. Coleman   04/27/2016  0.04%    2


 PORTFOLIO COMPOSITION (Holdings-based)     INVESTMENT OVERVIEW
  Assets  The investment seeks to track the performance of the CRSP US Small Cap Index that measures the investment return of small-capitalization stocks. The fund
 employs an indexing investment approach designed to track the performance of the CRSP US Small Cap Index, a broadly diversified index of stocks of small U.S.
    Cash  0.12%       companies. The advisor attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each
    US Stocks  99.15%       stock in approximately the same proportion as its weighting in the index.
    US Bonds  0.00%
    Non-US Stocks  0.73%
    Preferred Stocks  0.00%       PERFORMANCE
    Convertible Bonds  0.00%
    Other  0.00%       3 Year Rolling Performance (Jul 16-Jun 21)
    Non-US Bonds  0.00%       20
 Sector Breakdown                                                    5th to 25th Percentile
 Sensitive  15                                                       25th to Median
 Communication Services  2.40%                                       Median to 75th Percentile
 Industrials  16.11%  10                                             75th to 95th Percentile
 Technology  16.85%
 Energy  3.67%  5                                                    Vanguard Small Cap Index I
                                                                     Russell 2000 Index
 Cyclical
 0
 Basic Materials  4.63%
 Consumer Cyclical  13.03%
 -5
 Real Estate  9.56%
 Financial Services  13.06%
 -10
 Defensive
 Consumer Defensive  4.14%  -15
 Healthcare  14.34%  4/2016  2/2017  4/2017  2/2018  4/2018  2/2019  4/2019  2/2020  4/2020  2/2021
 Utilities  2.19%
 3M     YTD          1Y           3Y           5Y           7Y           10Y          SI
 TOP 10 HOLDINGS
 Fund  5.59  16.39  56.51 / 70  14.76 / 13  15.97 / 22   11.51 / 18   12.90 / 11      9.92
 Charles River Laboratories International Inc  0.34%
 Benchmark  4.29  17.54  62.03 / 43  13.52 / 25  16.47 / 14  11.39 / 20  12.34 / 25
 Avantor Inc  0.32%  Peer Group Median  4.35  19.72  60.82 / 50  11.76 / 50  14.39 / 50  10.12 / 50  11.50 / 50
 Bio-Techne Corp  0.32%
 Number of Funds     246          225          199          179          152
 Pool Corp  0.32%
 PerkinElmer Inc  0.31%  CALENDAR  2020  2019  2018  2017  2016  2015  2014  2013     2012
 Diamondback Energy Inc  0.31%  Fund  19.12  27.40  -9.32  16.25  18.32  -3.63  7.53  37.80  18.26
 IDEX Corp  0.30%  Benchmark  19.96  25.52  -11.01  14.65  21.31  -4.41  4.89  38.82  16.35
 Entegris Inc  0.30%  Peer Group Median  11.42  23.91  -12.01  13.03  21.27  -4.43  4.76  38.47  15.98
 VICI Properties Inc Ordinary Shares  0.30%
 Novavax Inc  0.29%
 RISK & PERFORMANCE STATISTICS   NOTES
 Total:  3.11%
                Peer Group
 3 Yr  Fund  Benchmark
 ASSET LOADINGS  (Returns-based)     Median
 Alpha  1.55  0.00  -1.11
 FUND EXPOSURES (WEIGHT) (Jul 18-Jun 21)  Beta  0.95  1.00  0.98
 100
 75  R-Squared  98.08  100.00  95.92
 Sharpe Ratio  0.63  0.57  0.52
 50
 25  Up Market Capture  96.43  100.00  97.49
 0  Down Market Capture  92.69  100.00  101.17
 Current       Average
 Fund  Bmk   Fund   Bmk   5 Yr  Fund  Benchmark  Peer Group
 Cash  0.0   0.0   0.0   0.0   Median
 Top Value  0.0   0.1   0.0   0.0   Alpha  0.42  0.00  -1.36
 Top Growth  0.0   0.0   0.0   0.0   Beta  0.93  1.00  0.99
 Mid Value  45.3   0.6   32.4   0.3   R-Squared  97.48  100.00  94.98
 Mid Growth  5.6   0.0   11.2   0.0   Sharpe Ratio  0.79  0.78  0.69
 Sm Value  10.2   48.3   17.3   48.1   Up Market Capture  92.15  100.00  94.91
 Sm Growth  39.0   51.0   39.1   51.6   Down Market Capture  90.92  100.00  101.74

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