IFA Index Portfolio 30: Pale Blue

Moderately Conservative: Suitable for investors who have at least 6 years before needing approximately 20% of their investments and are willing to accept a moderately conservative degree of risk to achieve portfolio growth with emphasis on capital preservation.

Index DataRolling PeriodsTop Ten HoldingsReturns MatrixFact SheetHi/Lo ComparisonRisk/Return Calculator
Below are methods for implementing this level of risk. Due to differences, returns will vary from the IFA Index Portfolio (see here).
Taxable
Accts
IRA
Accts
Taxable &
IRA Accts
401k/403b
Plans
Socially
Responsible
Environmentally
Conscious
Core
Allocation
Diversified
Index Managers

IFA 401(k)/ 403(b) Plans
General Asset
Class Allocation
Specific IFA Index
Allocation
Portfolio Account Index
Funds Allocation (Fund Symbols)
Number
of
Holdings**
Wtd Avg Mkt Cap (millions)**Wtd Avg Book-to
-Market**
16%US Large8.00%IFA US Large Company Index8.00%DFA US Large Company (DFUSX)
Schwab S&P 500 (SWPPX)
Fidelity S&P 500 (FSMKX)
Vanguard 500 Index Fund (VFINX)
503


5071
$95,298


$35,900*1
0.55


0.501
8.00%IFA US Large Cap Value Index8.00%DFA US Large Cap Value (DFLVX)228$51,6581.06
8%US Small4.00%IFA US Small Cap Index4.00%DFA US Micro Cap (DFSCX)2,129$6120.7
4.00%IFA US Small Cap Value Index4.00%DFA US Small Cap Value (DFSVX)1,368$1,0851.12
4%Real Estate4.00%IFA Real Estate Index4.00%DFA Global Real Estate Securities (DFGEX)322$9,7680.74
8%International4.00%IFA International Value Index4.00%DFA International Value (DFIVX)533$40,2811.19
2.00%IFA International Small Company Index2.00%DFA International Small Company (DFISX)4,806$1,3630.97
2.00%IFA International Small Cap Value Index2.00%DFA International Small Cap Value (DISVX)2,230$1,2551.62
4%Emerging Markets1.20%IFA Emerging Markets Index1.20%DFA Emerging Markets (DFEMX)874$42,7090.6
1.20%IFA Emerging Markets Value Index1.20%DFA Emerging Markets Value (DFEVX)2,199$27,4221.06
1.60%IFA Emerging Markets Small Cap Index1.60%DFA Emerging Small Cap (DEMSX)2,619$1,2530.86
60%Fixed Income15.00%IFA One-Year Fixed Income Index15.00%DFA One-Year Fixed Income (DFIHX)nanana
15.00%IFA Two-Year Global Fixed Income Index15.00%DFA Two-Year Global Fixed Income (DFGFX)nanana
15.00%IFA Short Term Government Index15.00%DFA Short Term Government (DFFGX)
Vanguard Short-Term Bond Index (VBISX)
Vanguard Short-Term Federal (VSGBX)
nana
15.00%IFA Five-Year Global Fixed Income Index15.00%DFA Five-Year Global Fixed Income (DFGBX)nanana
**As of December 31, 2011                                       *Median or average market cap is shown because weighted average market cap is not given.
1Note: Vanguard data as of 4/30/2009; iShares data as of 3/31/2009; Schwab ETF data as of 6/8/2010
2Vanguard Global ex-US Real Estate as of 1/28/2011

 

IFA Index Portfolio 30: Pale Blue

Moderately Conservative: Suitable for investors who have at least 6 years before needing approximately 20% of their investments and are willing to accept a moderately conservative degree of risk to achieve portfolio growth with emphasis on capital preservation.

Index DataRolling PeriodsTop Ten HoldingsReturns MatrixFact SheetHi/Lo ComparisonRisk/Return Calculator
Below are methods for implementing this level of risk. Due to differences, returns will vary from the IFA Index Portfolio (see here).
Taxable
Accts
IRA
Accts
Taxable &
IRA Accts
401k/403b
Plans
Socially
Responsible
Environmentally
Conscious
Core
Allocation
Diversified
Index Managers
Index Funds Advisors, Inc. All rights reserved.
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