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 Taxable Accounts
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 Tax-Managed U.S. Equity (DTMEX)2,626$82,6740.55
8.00%IFA US Large Cap Value Index8.00%DFA Tax-Managed US Marketwide Value  (DTMMX)1,279$47,3081.03
8%US Small4.00%IFA US Small Cap Index4.00%DFA Tax-Managed U.S. Small Cap (DFTSX)2,062$9650.73
4.00%IFA US Small Cap Value Index4.00%DFA Tax-Managed U.S. Targeted Value (DTMVX)1,488$1,7511.07
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 Tax-Managed International Value  (DTMIX)473$45,2791.21
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)nanana
15.00%IFA Five-Year Global Fixed Income Index15.00%DFA Five-Year Global Fixed Income (DFGBX)nanana
**As of December 31, 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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