The blended return represents a 65% weighting in stocks and 35% in bonds. Stocks use the Russell 3000 index, or the total US stock market. Bonds use the Barclays Capital Aggregate which measures the return for domestic bonds.

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Asset Class Range
 Portfolio Table

The Investment Committee of the Fund’s Board of Trustees sets the investment policy with a target weight for each asset class. The committee also sets a range around the target (+/-), providing staff the flexibility to over weight or underweight accordingly. While the position in each range is monitored monthly, staff is required to rebalance the portfolio at the end of each quarter if an asset class ends up outside its range.





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