| Fixed Income | Large Cap Value |
Large Cap Growth |
Foreign | Small Company |
Portfolio | |
| Morningstar Averages for the Universe |
n/a | -0.96% | -4.27% | 0.34% | -3.14% | n/a |
| Stable Value Option |
1.29% | |||||
| Wellington Core |
-0.34% | |||||
| PRIMCO GIC |
1.25% | |||||
| Cash | 0.69% | |||||
| BGI – Money Market Index |
0.60% | |||||
| Benchmark | ||||||
| LB 1-3 yr. Govt./Treas. |
-0.25% | |||||
| Equity Index Option (BGI – US Equity Index) |
-2.18% | |||||
| Benchmark | ||||||
| Russell 3000 |
-2.20% | |||||
| Value Stock Option |
-1.63% | |||||
| Clipper | -3.06% | |||||
| Morgan Value (separately managed) |
-0.93% | |||||
| Neuberger Berman Focus Tr |
-4.91% | |||||
| Legg Mason Spec. Invmt. Trust |
-5.21% | |||||
| Neuberger Berman Regency |
0.51% | |||||
| T. Rowe Price Value |
-0.96% | |||||
| BGI – Value Index |
0.06% | |||||
| Benchmark | ||||||
| Russell Price Driven (1000 Value) |
0.09% | |||||
| Growth Stock Option |
-4.30% | |||||
| Turner Mid Cap Growth |
-2.54% | |||||
| TCW Galileo Select Equities I |
-9.86% | |||||
| Marsico Focus |
-4.27% | |||||
| Wellington Mid Cap Opportunities |
-1.09% | |||||
| BGI – Growth Index |
-4.10% | |||||
| Benchmark | ||||||
| Russell Earnings Growth (1000 Growth) |
-4.09% | |||||
| International Stock Option |
0.82% | |||||
| Amer Cent-20th Cent. Int’l Discovery |
-0.46% | |||||
| Amer Cent-20th Cent. Int’l Growth |
-1.10% | |||||
| Templeton Instl. Foreign |
0.96% | |||||
| First Eagle Overseas I |
4.06% | |||||
| Longleaf Partners Intl. |
2.32% | |||||
| BGI Eafe Index |
-0.13% | |||||
| Benchmark | ||||||
| MSCI EAFE Net Divs |
-0.17% | |||||
| Diversified Small Company Stock Option |
-3.99% | |||||
| Royce Opportunity |
-4.36% | |||||
| Dimensional U.S. Micro Cap Portfolio |
-6.43% | |||||
| Janus Small Cap Value Instl. |
-0.23% | |||||
| Franklin Small Cap Growth II |
-4.22% | |||||
| BGI – Small Company Index |
-5.27% | |||||
| Benchmark | ||||||
| Russell 2000 Total |
-5.34% | |||||
| Conservative Model Portfolio |
-0.03% | |||||
| Benchmark | ||||||
| Conservative Composite Index |
-0.57% | |||||
| Moderate Model Portfolio |
-1.15% | |||||
| Benchmark | ||||||
| Moderate Composite Index |
-1.57% | |||||
| Aggressive Model Portfolio |
-1.63% | |||||
| Benchmark | ||||||
| Aggressive Composite Index |
-2.07% |