Note: Scroll or click on any of the portfolio buttons below to view their allocations.
The IFA Index Portfolios as of Market Close: Monday, February 06, 2012
IFA Indexes
YTD Return %
Value (1)
Risk (2)
10.96%
6,772
10.52%
5,491
10.09%
4,411
9.60%
3,813
9.12%
3,252
8.64%
2,737
8.15%
2,274
7.67%
1,865
7.18%
1,511
6.70%
1,209
6.22%
956
5.73%
746
5.25%
576
4.77%
439
4.28%
331
3.80%
246
3.32%
181
2.83%
131
2.35%
94
1.87%
66
(1) Index data based on starting value of one, as of Jan 1, 1928. Source: dfaus.com.
(2) The risk measure is calculated as the annualized standard deviation of returns from 1/1/1928 to 12/31/2011.