IFA Index Portfolio 100 S2B2S2B2100IFA Index Portfolio 95 S2B2S2B295IFA Index Portfolio 90 S2B2S2B290IFA Index Portfolio 85 S2B2S2B285IFA Index Portfolio 80 S2B2S2B280IFA Index Portfolio 75 S2B2S2B275IFA Index Portfolio 70 S2B2S2B270IFA Index Portfolio 65 S2B2S2B265IFA Index Portfolio 60 S2B2S2B260IFA Index Portfolio 55 S2B2S2B255IFA Index Portfolio 50 S2B2S2B250IFA Index Portfolio 45 S2B2S2B245IFA Index Portfolio 40 S2B2S2B240IFA Index Portfolio 35 S2B2S2B235IFA Index Portfolio 30 S2B2S2B230IFA Index Portfolio 25 S2B2S2B225IFA Index Portfolio 20 S2B2S2B220IFA Index Portfolio 15 S2B2S2B215IFA Index Portfolio 10 S2B2S2B210IFA Index Portfolio 5 S2B2S2B25IFA Index Portfolio 0 S2B2S2B20

IFA U.S. Large Value Index: Returns Matrix

Time Range:35 Years50 Years98 Years
Display Units: Annualized Return %Growth of Dollar $
Magnification: + Enlarge- ReduceOriginal

1991
1-Year199128.761992
199222.6116.751993
199322.2819.1621.621994
199417.213.5912.043.211995
5-Year199520.9919.1219.9219.0737.371996
199621.5620.1721.0420.8530.7624.471997
199723.2322.3323.4823.9531.7429.0233.731998
199821.2820.2520.8420.6925.521.7820.458.491999
199920.0118.9619.2818.8922.3118.816.979.410.312000
10-Year200018.8317.7717.917.3819.9216.7114.849.169.498.682001
200117.316.2116.1515.4817.3514.3112.387.67.35.833.052002
200214.313.0712.711.7512.879.757.472.871.51-1.27-5.89-14.062003
200315.9214.9114.7414.0715.3512.8611.297.937.827.216.728.6137.252004
200416.1615.2415.1114.5415.7413.5612.269.499.669.539.7412.0727.9719.322005
15-Year200515.7814.914.7614.2115.2713.2612.089.639.89.719.9211.721.9114.8910.632006
200616.0915.2915.1914.7115.7213.9312.9310.8311.1211.2411.6713.4821.6416.8415.6320.842007
200715.0214.2114.0513.5214.3612.6311.619.619.739.669.810.9616.7812.169.879.5-0.792008
200810.869.899.478.719.117.25.873.653.172.411.651.454.3-1.27-5.84-10.77-23.32-40.742009
200911.871110.6710.0210.498.787.665.735.485.014.614.817.823.570.68-1.66-8.19-11.6831.612010
20-Year201012.2611.4511.1710.5811.069.58.56.776.626.296.066.49.285.783.672.33-1.83-2.1825.6820.022011
201111.5810.7810.489.8910.38.797.826.1865.655.385.618.064.882.961.74-1.71-1.9415.998.89-1.212012
201211.9311.1910.9210.3810.89.48.527.026.926.666.56.819.166.424.914.121.562.0416.8912.358.7119.622013
201313.0112.3412.1311.6812.1410.8810.138.88.828.728.729.2111.619.338.277.986.267.4821.0718.5718.0929.1139.352014
201412.8912.2412.0411.6112.0410.8510.148.898.918.828.839.2811.59.418.468.236.747.8719.1916.8516.0722.4823.9310.222015
25-Year201512.211.5611.3410.8911.2710.19.398.188.168.037.998.3510.298.37.357.035.66.4215.7113.2511.9415.514.163.32-3.142016
201612.5911.9911.811.3911.7810.6810.048.918.948.868.879.2711.169.378.588.397.228.1516.5914.5913.7116.9616.39.59.1422.982017
201712.7812.212.0311.6412.0310.9910.399.339.389.339.379.7711.589.949.259.148.139.0616.7114.9714.2717.0716.5711.4811.9120.2917.662018
201811.8111.2311.0210.6210.949.919.298.258.248.138.18.49.998.377.637.416.367.0313.5511.710.712.5211.376.495.588.662.14-11.342019
201912.3111.7711.5911.2211.5510.5910.029.059.079.019.039.3710.939.478.848.717.838.5814.7313.1612.4314.2613.519.79.5913.039.96.2127.242020
30-Year202011.8611.3211.1310.7611.0610.129.568.618.628.548.538.8310.268.858.238.077.217.8613.3711.8511.0612.5211.668.187.8410.187.23.9212.51-0.512021
202112.311.7911.6211.2811.5910.710.189.299.339.299.319.6411.059.759.219.138.399.0714.3112.9812.3613.8213.1910.2810.2912.7110.769.116.9112.0626.212022
202211.6711.1610.9710.6210.910.029.58.638.638.568.568.8310.128.858.38.167.417.9812.7111.3710.6811.8311.088.328.089.797.745.8510.655.618.81-6.192023
202311.7711.2811.1110.7711.0410.29.718.878.898.838.849.1110.359.168.658.547.868.4212.8711.6411.0212.1111.458.998.8510.458.777.3511.547.9310.93.9515.192024
202411.7811.311.1310.8111.0710.269.798.999.018.958.979.2310.439.298.818.728.088.6312.8211.6711.0912.111.499.269.1610.629.17811.618.7311.176.5613.5711.982025
35-Year202511.8911.4311.2710.9611.2210.449.999.229.259.219.239.510.669.589.139.068.479.0112.9911.9211.412.3611.829.799.7511.139.888.9512.29.8712.088.814.3113.8715.79
19911992199319941995199619971998199920002001200220032004200520062007200820092010201120122013201420152016201720182019202020212022202320242025

For HYPOTHETICAL back-tested performance data shown in this chart, including sources, updates, and important disclosures, see ifabt.com. Indexes are labeled with letters to designate the index name and are defined at indexdescriptions.com. The IFA Indexes include several stock and bond indexes that represent a monthly data series that begins with index data from various sources on January 1, 1928. The construction of IFA Indexes data introduces live mutual fund data of funds that are similar to the preceding index upon the inception date of the funds and uses that monthly mutual fund data up to the current month. The HYPOTHETICAL back-tested performance of the indexes was achieved with the benefit of hindsight; it does not represent actual investment strategies for the entire period; and it does not reflect the impact that economic and market factors may have had on the advisor's decision making if the advisor were actually managing client money during the period shown. Unless indicated otherwise, the performance of the IFA Indexes when shown individually, does reflect the deduction of mutual fund fees, include reinvestment of dividends and capital gains but does not include the deduction of IFA advisory fees, transaction costs or taxes, which if included, would lower performance. IFA Indexes were created by IFA in 2000.The S&P 500 Index is an unmanaged float-adjusted market capitalization-weighted index composed of the 500 most widely held, publicly traded companies, whose assets and/or revenues are based in the US. The inclusion of information within charts and graphs relating to the S&P 500 Index is for informational purposes and shown as a comparison to other indexes, index portfolios or funds and as a general indicator of performance of large companies in the U.S. You cannot make an investment directly into an index.Past performance does not guarantee future results. All data, including performance data, is provided for illustrative purposes only, it does not represent actual performance of any client portfolio or account and it should not be interpreted as an indication of such performance.