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Scorecard - 457(b) Plan









 Style          Risk/Return          Peer Group      Qual               Score
 Asset  Ticker/
 Active  Assets                              Info
 Class  I D  Style  Risk/  Up/  Info  Return                  Q3      Q2     Q1
 Style  R 2                                 Ratio   2pt Max                        Q4 2019
 Drift   Return   Down     Ratio    Rank                     2020    2020   2020
                                            Rank
 1  1  1   1        1        1       1        1        2      10      10     10      10
 American Century Mid
 $4,415,035.00  MCV  AMDVX  -88.3/  16.3/  95.9/
 Cap Value R6  9.6  96.4   0.25     31.0     32.0            MCV     MCV     MCV    MCV
 24.7     7.3      91.1

 The investment seeks long-term capital growth; income is a secondary consideration. Under normal market conditions, the portfolio managers will invest at least 80%
 Strategy Review  of the fund's net assets in medium size companies. The portfolio managers consider medium size companies to include those whose market capitalizations at the
 time of purchase are within the capitalization range of the Russell 3000® Index, excluding the largest 100 such companies.


 1  1  1   1        0        0       1        1        2       8      8       8      10
 MassMutual Select Mid
 $16,408,323.00  MCG  MEFZX  53.6/  16.8/  92.7/
 Cap Growth I  17.4  97.1  -0.58    45.0     46.0            MCG     MCG    MCG     MCG
 4.3      13.8     97.6

 The investment seeks growth of capital over the long-term. The fund invests primarily in equity securities of mid-capitalization companies that the fund's subadvisers
 Strategy Review  believe offer the potential for long-term growth. It invests at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in a broadly
 diversified portfolio of common stocks of mid-cap companies whose earnings the subadvisers expect to grow at a faster rate than the average company.


 1  1  1   0        0        0       1        1        2       7      10     10      10
 Small Cap Value I1 (BMO
 $538,302.00  SCV  97181N296  -87.9/  21.3/  103.2/
 Disciplined SCV)  8.4  98.2  -0.09  34.0    40.0            SCV     SCV     SCV    SCV
 -94.4    3.9     103.7


 Strategy Review




 1  1  1   1        1        1       1        1        2      10      10     10      10
 Small Cap Growth I1
 $9,142,648.00  SCG  97181N361  100.0/  21.0/  107.2/
 (Victory RS SCG R6)  13.0  93.7  0.67  23.0  19.0           SCG     SCG     SCG    SCG
 -83.6    15.0     94.6


 Strategy Review
















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