Investment Returns Summary

Returns for Twelve Months Ended December 31, 2015

Short Term Pool                                       0.86%

Short Term Benchmark                           0.41%

(25% Vanguard Prime Money Market Fund, 50% Barclay’s 1-3 Year US Bond Index, 25% Barclay’s US  Aggregate Bond Index)

Medium Term Pool                                  -0.16%

Medium Term Pool Benchmark            -0.30%

(20% Vanguard Prime Money Market Fund, 10% Barclays 1-3 Year US Bond Index, 30% Barclay’s US Aggregate Bond Index, 20% S&P 500 Stock Index, 10% Russell 2000 Index, 10% MSCI EAFE)

Long Term Pool                                           0.18%

Long Term Benchmark                             -0.55%

(10% Vanguard Prime Money Market Fund, 30% Barclay’s US Aggregate Bond Index, 30% S&P 500 Stock Index, 10% Russell 2000 Index, 20% MSCI EAFE)

Barclay’s US Aggregate Bond Index      0.44%

Barclay’s 1-3 Year US Bond Index          0.57%

S&P 500 Stock Index                                1.36%

Russell 2000 Index                                  -4.41%

MSCI EAFE                                                -3.30%

Vanguard Prime Money Market Fund  0.05%

Returns for Twelve Months Ended December 31, 2014

Short Term Pool                                       2.17%

Short Term Benchmark                           1.78%

(25% Vanguard Prime Money Market Fund, 50% Barclay’s 1-3 Year US Bond Index, 25% Barclay’s US  Aggregate Bond Index)

Medium Term Pool                                  5.29%

Medium Term Pool Benchmark             4.56%

(20% Vanguard Prime Money Market Fund, 10% Barclays 1-3 Year US Bond Index, 30% Barclay’s US Aggregate Bond Index, 20% S&P 500 Stock Index, 10% Russell 2000 Index, 10% MSCI EAFE)

Long Term Pool                                           6.11%

Long Term Benchmark                              5.38%

(10% Vanguard Prime Money Market Fund, 30% Barclay’s US Aggregate Bond Index, 30% S&P 500 Stock Index, 10% Russell 2000 Index, 20% MSCI EAFE)

Barclay’s US Aggregate Bond Index      -1.97%

Barclay’s 1-3 Year US Bond Index          0.37%

S&P 500 Stock Index                               32.39%

Russell 2000 Index                                  36.14%

MSCI EAFE                                                19.43%

Vanguard Prime Money Market Fund  0.02%

Returns for Twelve Months Ended December 31, 2013

Short Term Pool                                        -0.70%

Short Term Benchmark                           -0.30%

(25% Vanguard Prime Money Market Fund, 50% Barclay’s 1-3 Year US Bond Index, 25% Barclay’s US  Aggregate Bond Index)

Medium Term Pool                                  12.88%

Medium Term Pool Benchmark             11.48%

(20% Vanguard Prime Money Market Fund, 10% Barclays 1-3 Year US Bond Index, 30% Barclay’s US Aggregate Bond Index, 20% S&P 500 Stock Index, 10% Russell 2000 Index, 10% MSCI EAFE)

Long Term Pool                                           17.70%

Long Term Benchmark                              16.63%

(10% Vanguard Prime Money Market Fund, 30% Barclay’s US Aggregate Bond Index, 30% S&P 500 Stock Index, 10% Russell 2000 Index, 20% MSCI EAFE)

Barclay’s US Aggregate Bond Index      5.85%

Barclay’s 1-3 Year US Bond Index         0.64%

S&P 500 Stock Index                               13.69%

Russell 2000 Index                                  4.89%

MSCI EAFE                                               -4.90%

Vanguard Prime Money Market Fund   0.01%

 

Returns for Calendar Year 2012

Short Term Pool                                            2.63%

Short Term Benchmark                                 1.18%

(50% Lipper Money Market Index, 25% Barclay’s 1–3 Year US Bond Index, 25% Barclay’s US Aggregate Bond Index)

Medium Term Pool                                        8.05%

Medium Term Pool Benchmark                  7.88%

(20% Lipper Money Market Index, 10% Barclays 1–3 Year US Bond Index, 20% Barclays US Aggregate Bond Index, 20% S&P Index, 20% Russell 200 Index 10% MSCI EAFE)

Long Term Pool                                             10.87%

Long Term Benchmark                                  11.16%

(10% Lipper Money Market Index, 30% Barclay’s US Aggregate Bond Index, 30% S&P Index, 10% Russell 200 Index, 20% MSCI EAFE)

Barclay’s US Aggregate Bond Index              4.2%

Barclay’s 1–3 Year US Bond Index                0.5%

S&P Index                                                         16.0%

Russell 2000 Index                                          16.4%

MSCE EAFE                                                       17.3%

Lipper Money Market Index                           0.0%

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