Clear0123456789101112131415161718192021222324252627282930313233343536373839404142434445464748495051525354555657585960616263646566676869707172737475767778798081828384858687888990919293949596979899100SPSPLCLVSCSVREIREISISEIVISVEMEMSESEV1F2F3G5FWSCESFMCNTMLGSGUSCUSCISCEMC

IFA Index Portfolio 25: Returns Matrix

Time Range:35 Years50 Years97 Years
Display Units: Annualized Return %Growth of Dollar $
Magnification: + Enlarge- ReduceOriginal

1990
1-Year19902.291991
19918.9315.991992
19928.2511.366.911993
19939.3311.789.7312.621994
5-Year19947.088.325.885.36-1.431995
19958.019.197.567.775.4312.761996
19968.169.177.868.16.6310.99.071997
19978.088.937.87.976.849.758.287.491998
19987.688.377.327.396.388.427.0164.531999
10-Year19997.748.367.447.526.698.397.336.756.388.272000
20007.387.97.047.056.287.626.626.025.536.043.852001
20017.167.626.816.86.17.226.325.785.365.634.344.832002
20026.787.176.46.355.676.65.745.24.754.83.673.582.352003
20037.257.646.976.986.437.346.686.356.166.486.046.787.7713.482004
15-Year20047.197.556.926.926.427.246.646.346.186.466.16.677.299.846.312005
20056.957.276.676.656.176.896.326.025.846.025.656.026.327.684.883.472006
20067.027.336.776.766.3376.496.246.16.296.026.386.697.815.985.818.212007
20076.847.116.586.556.136.746.2565.8565.725.996.186.975.45.095.923.672008
20086.056.265.725.645.195.685.164.844.64.64.24.254.174.472.761.891.37-1.89-7.162009
20-Year20096.36.516.015.965.556.045.575.315.135.184.884.995.015.44.113.673.722.271.5711.132010
20106.356.566.086.045.666.125.75.465.35.375.115.235.285.654.584.294.463.543.59.277.452011
201166.185.715.655.275.685.2554.834.854.574.644.624.873.843.53.52.582.315.683.05-1.162012
20125.986.155.75.655.295.685.275.044.884.94.654.724.714.954.043.763.83.082.965.663.92.175.62013
20136.016.175.755.695.365.735.355.134.995.024.794.864.875.14.294.074.153.583.565.854.573.636.116.622014
25-Year20145.815.955.545.485.155.495.124.94.754.774.544.594.574.7643.773.83.263.25.043.862.984.43.811.072015
20155.525.655.245.174.845.154.794.574.414.44.164.184.144.273.543.293.272.742.634.12.982.112.942.07-0.14-1.332016
20165.485.65.215.134.825.114.764.554.44.394.174.194.154.283.63.383.372.92.814.133.172.473.212.621.321.454.32017
20175.445.565.185.114.815.094.754.554.414.44.194.214.174.293.673.473.463.042.984.173.342.763.4332.122.474.424.542018
20185.145.244.874.794.494.744.414.24.044.023.83.83.743.823.212.992.962.532.433.442.622.032.491.981.081.081.90.72-2.962019
30-Year20195.195.294.934.864.574.824.54.34.164.143.943.953.93.993.423.233.222.842.773.733.012.5332.641.992.173.072.661.736.652020
20205.065.164.84.734.454.684.374.184.034.013.813.813.763.843.33.113.092.732.663.522.862.412.812.471.892.032.712.321.593.941.32021
20215.075.164.824.744.474.74.44.224.084.063.883.883.833.913.43.233.222.892.843.653.052.663.052.772.32.473.122.892.484.363.235.192022
20224.74.784.434.354.084.283.983.793.643.63.413.393.323.372.862.672.622.282.192.92.291.872.151.811.291.321.71.270.631.55-0.09-0.79-6.422023
20234.774.854.524.444.184.384.093.913.773.743.563.553.493.543.072.92.872.572.53.172.632.272.562.291.861.952.372.091.692.651.671.80.147.172024
35-Year20244.794.874.554.484.224.424.143.973.843.813.643.633.583.633.193.033.012.732.673.322.822.52.792.552.192.312.722.522.243.132.442.731.926.365.56
19901991199219931994199519961997199819992000200120022003200420052006200720082009201020112012201320142015201620172018201920202021202220232024

For HYPOTHETICAL back-tested performance data shown in this chart, see ifabt.com. IFA Index Portfolios are labeled with numbers that refer to the percentage of stock indexes in the asset allocation, as opposed to the allocation of bond indexes. For example, an IFA Index Portfolio 90 is 90% IFA stock indexes and 10% IFA bond indexes. For more, go to indexdescriptions.com. The HYPOTHETICAL back-tested performance of the IFA Index Portfolios 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. The performance of index portfolios does reflect the maximum annual advisory fee of 0.9%. IFA Index Portfolios do reflect the deduction of mutual fund fees, include reinvestment of dividends, capital gains, and includes the deduction of IFA advisory fees, but does not include transaction costs or taxes, which if included, would lower performance. The IFA Index Portfolios were created by IFA in 2000.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.