Smart Diversification Can Help You Stay on Track (65%/35%)

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Presentation transcript:

Smart Diversification Can Help You Stay on Track (65%/35%) Asset Class Performance 2002-2016 Source: Morningstar Direct 2016. Cash (BofAML 3M US Treasury Note TR USD). Index representation as follows: U.S. Large (S&P 500 Index), U.S. Large Value (Russell 1000 Value Index), U.S. Small (Russell 2000 Index), U.S. REIT (Dow Jones U.S. Select REIT Index), International Large Value (MSCI World Ex USA Value Index (net div.)), International Small Cap (MSCI World Ex USA Small (net div.)), EM Value (MSCI Emerging Markets Index (net div)), Global Short Term Bond (Citi WGBI 1-5Yr Hdg USD), U.S Short Term Bond (BofA ML Corp & Govt 1-3 Yr TR). 65/35 Index Mix: 2% Cash, 16% US ST Bonds, 17% Global ST Bonds, 15% US Large, 12% US Value, 8% US Small Cap, 14% Intl Large Value, 7% Intl Small Cap, 5% Emerging Markets Value, 4% US REITs; rebalanced annually. Indexes are unmanaged baskets of securities that are not available for direct investment by investors. Index performance does not reflect the expenses associated with the management of an actual portfolio. Past performance is not a guarantee of future results. All investments involve risk, including loss of principal. Foreign securities involve additional risks, including foreign currency changes, political risks, foreign taxes, and different methods of accounting and financial reporting. Fixed income investments are subject to interest rate and credit risk. Emerging markets involve additional risks, including, but not limited to, currency fluctuation, political instability, foreign taxes, and different methods of accounting and financial reporting. Real estate securities funds are subject to changes in economic conditions, credit risk and interest rate fluctuations. © 2017 LWI Financial Inc. Investment advisory services provided by LWI Financial Inc. (“Loring Ward”). Securities transactions offered through its affiliate, Loring Ward Securities Inc., member FINRA/SIPC. R 17-040 (3/18) Source: Morningstar Direct 2016. Cash (BofAML 3M US Treasury Note TR USD). Index representation as follows: U.S. Large (S&P 500 Index), U.S. Large Value (Russell 1000 Value Index), U.S. Small (Russell 2000 Index), U.S. REIT (Dow Jones U.S. Select REIT Index), International Large Value (MSCI World Ex USA Value Index (net div.)), International Small Cap (MSCI World Ex USA Small (net div.)), EM Value (MSCI Emerging Markets Index (net div)), Global Short Term Bond (Citi WGBI 1-5Yr Hdg USD), U.S Short Term Bond (BofA ML Corp & Govt 1-3 Yr TR). 65/35 Index Mix: 2% Cash, 16% US ST Bonds, 17% Global ST Bonds, 15% US Large, 12% US Value, 8% US Small Cap, 14% Intl Large Value, 7% Intl Small Cap, 5% Emerging Markets Value, 4% US REITs; rebalanced annually. Indexes are unmanaged baskets of securities that are not available for direct investment by investors. Index performance does not reflect the expenses associated with the management of an actual portfolio. Past performance is not a guarantee of future results. All investments involve risk, including loss of principal. Foreign securities involve additional risks, including foreign currency changes, political risks, foreign taxes, and different methods of accounting and financial reporting. Fixed income investments are subject to interest rate and credit risk. Emerging markets involve additional risks, including, but not limited to, currency fluctuation, political instability, foreign taxes, and different methods of accounting and financial reporting. Real estate securities funds are subject to changes in economic conditions, credit risk and interest rate fluctuations. © 2017 LWI Financial Inc. Investment advisory services provided by LWI Financial Inc. (“Loring Ward”). Securities transactions offered through its affiliate, Loring Ward Securities Inc., member FINRA/SIPC. R 17-040 (3/18)