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Risk Analysis                                                          6/30/2021



 Asset Class: International

             Ticker      3 Yr Return        3 Yr Risk      Info    Sharpe    3 Yr Risk Rank
                        Total  Excess    Total   Excess    Ratio   Ratio


 RISK / RETURN (3-Year)

 Vanguard Developed Markets Index Admiral  VTMGX  9.14  0.37  18.56  2.36  0.16  0.49  69
 14.0
 MSCI EAFE               8.77     0.00    17.73    0.00              0.49     42
 Foreign Large Blend Median (239 funds)  RERGX  13.79  -0.14  17.95  3.93  -0.05  0.48  50  3 Yr
                         8.63
 Return (Total Annualized Return, %)  7.0  MSCI EAFE Growth  RWIGX  12.85  -2.68  15.90  0.00  -0.63  0.76  22  3 Yr
 10.5
                                  0.94
                                                    5.86
 American Funds Europacific Growth R6
                                          18.69
                                                            0.16
                                                                              72
                                                                     0.72
                                  0.00
 Foreign Large Growth Median (115 funds)
                                                                     0.73
                                          17.36
                                                                              50
                        13.17
                                  0.32
                                                            0.06
                                                    5.34
                                                    2.45
                                          16.80
                        12.91
                                                            -1.10
                                                                              23
                                                                     0.73
 American Funds Capital World Gr&Inc R6
                                                                     0.84
                                                                              35
                                  0.00
                                                   0.00
                                          17.51
                        15.59
 MSCI AC World Index Large Cap USD
                                          18.15
 World Large-Stock Blend Median (103 funds)
                                                                              50
                                                    3.82
                                                                     0.71
                                 -2.12
                        13.47
 3.5
 Invesco Developing Markets R6
                                                    4.05
                                                                     0.62
                                  0.00
 MSCI Emerging Markets  ODVIX  11.67  0.00  18.37  0.00     0.00     0.61     17       3 Yr
                                          18.81
                                                                              26
                        11.67
 0.0
 Diversified Emerging Mkts Median (250 funds)  11.08  -0.59  19.63  5.29  -0.14  0.57  50
 0.0  5.0  10.0  15.0  20.0
                                                                                       3 Yr
 Risk (Total Annualized StdDev, %)
 RISK / RETURN PEER RANK (3-Year)
 1
 Return Rank (Total Return Rank, %)  50
 25
 75
 100
 0.0  5.0  10.0  15.0  20.0
 Risk (Total Annualized StdDev, %)
 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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