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IFA Index Portfolio 100 IFA Index Portfolio 65

Moderately Aggressive: Suitable for investors who have at least 11 years before needing approximately 20% of their investments and are willing to accept a moderate degree of volatility in order to achieve moderate portfolio growth potential.

The data provided in charts referring to IFA Index Portfolios is hypothetical back-tested performance and is not actual client performance. Performance data for the IFA Index Portfolios is shown net of IFA's highest advisory fee and the underlying mutual fund expenses. IFA Indexes when shown individually do not reflect a deduction of advisory fees. None of the data reflects trading costs or taxes, which would have lowered performance by these costs. See more important disclosures at ifabt.com.

IFA ETF Factor Neutral Portfolio 65 Allocation

Equity Allocation: 65%

ManagerRegion%Size%Style%Fund Name%TickerHldgs*Weighted Avg
Market (M)*
Price to
Book*
US 39.00% Large 26.00% Blend 13.00% iShares Core S&P 500 13.00% IVV 509 $415,676.00 4.95
Value 6.50% SPDR® Portfolio S&P 500 Value ETF 6.50% SPYV 398 $200,696.26 3.09
Growth 6.50% Invesco QQQ Trust 6.50% QQQ 102 $597,415.37 8.02
Small 13.00% Blend 6.50% Vanguard Small-Cap ETF 6.50% VB 1,425 $6,464.89 2.32
Value 6.50% Vanguard Small Cap Value 6.50% VBR 840 $7,353.53 1.78
Global 19.50% Large 19.50% Blend 19.50% iShares Core MSCI EAFE ETF 19.50% IEFA 2,647 $38,101.75 1.84
Emerging Markets 6.50% Large 6.50% Blend 6.50% iShares Core MSCI Emerging Markets 6.50% IEMG 2,762 $35,748.50 1.87

Fixed Income Allocation: 35%

ManagerRegion%Maturity%Security Type%Fund Name%TickerHldgs*Weighted
Duration*
Weighted
Maturity*
US 35.00% Broad 35.00% Mixed 35.00% Vanguard Total Bond Market ETF 35.00% BND 17,671 n/a n/a
*Updated as of 9/8/2025