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Market Overview                                                        6/30/2021



 Financial Market Snapshot


  U.S. EQUITY   RISK/RETURN (3-Year)
 30
 The broad U.S. equity market, as measured by the Russell 3000
 Index, was up 8.24% for the last three months.
 25
 Growth stocks (Russell 1000 Growth: 11.93%) outperformed value
 Annualized Return (%)  15
 stocks (Russell 1000 Value: 5.21%) by 6.72%.  20


  FIXED INCOME

 The broad U.S. fixed income market returned a positive 1.83%
 (Bloomberg Barclays U.S Aggregate) for the quarter.  10

  INTERNATIONAL
 5

 Developed international equity underperformed U.S. equity by a
 small margin, returning a positive 5.38% in the last three months  0
 (MSCI EAFE).  0  5     10              15              20              25              30
                         Annualized Standard Deviation (%)


 INDEX PERFORMANCE SUMMARY (Sorted by trailing 3Yr performance)    3M  YTD  1 Year  3 Years  5 Years  10 Years
 Equity
 Russell 1000 Growth  11.93  12.99  42.50  25.14             23.66               17.87
 Russell 3000  8.24  15.11  44.16       18.73                17.89               14.70
 S&P 500  8.55  15.25  40.79            18.67                17.65               14.84
 Russell 2000 Growth  3.92  8.98  51.36  15.94               18.76               13.52
 Russell 1000 Value  5.21  17.05  43.68  12.42               11.87               11.61
 Russell 2000 Value  4.56  26.69  73.28  10.27               13.62               10.85
 International
 MSCI The World  7.89  13.33  39.67     15.59                15.44               11.26
 MSCI Emg Markets  5.12  7.58  41.36    11.67                13.43                4.65
 MSCI EAFE  5.38  9.17  32.92            8.77                10.79                6.38
 Fixed Income
 BB High Yield Corp Bond  2.74  3.62  15.37  7.45             7.48                6.66
 BB Aggregate Bond  1.83  -1.60  -0.33   5.34                 3.03                3.39
 BB Muni 7-Year Bond  0.72  0.18  2.95   4.63                 2.85                3.59
 BB Global Agg Bond  1.31  -3.21  2.63   4.23                 2.34                2.05
 Citi WorldBIG  1.24  -3.51  1.95        4.20                 2.40                2.09
 ML 3-Month T-Bill  0.00  0.02  0.09     1.34                 1.17                0.63


 Past performance is no guarantee of future results. Rankings provided based on total returns. Performance quoted for mutual funds may include performance of a predecessor
 fund/share class prior to the share class commencement of operations.




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