Blyco Electric Enrollment - Web Book - 2025 - Flipbook - Page 59
Investment Factsheet
PAGE 28 OF 45
Inv. Data as of 07/31/25.
VANGUARD TARGET RETIREMENT 2070 FUND
VSVNX
TARGET-DATE 2065+
MF
INCEPTION DATE
Product: 6/28/2022 Share Class: 6/28/2022
PRODUCT ASSETS ($MM)
Product: 1721.25 Million
MANAGERS(S)
LONGEST MANAGER TENURE
Roach/Nejman/Denis/Ali… 3.09 Years
Fi360 FIDUCIARY SCORE®
SCORE
BENCHMARK LEGEND
HISTORICAL Fi360 FIDUCIARY SCORES AT QUARTER END
0
0
25
149
PEERS
50
75
0
Morningstar Mod Tgt Risk TR
USD
Best-fit Index:
MSCI ACWI NR USD
25
VOLATILITY METRICS
50
Standard Deviation
75
100
Broad Index:
3 YR
5 YR
100
SHORTFALL
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
0
Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2
20 20 21 21 21 21 22 22 22 22 23 23 23 23 24 24 24 24 25 25
0 POINTS
0 PERCENTILE
5 YR ROLLING AVG: -
3 YR ROLLING AVG: -
1 YR R. AVG: -
CRITERIA
INVESTMENT
SHORTFALL
Manager Tenure (longest)
3.09 Years
>= 2 Years
Product Assets
Expense Ratio
Alpha (3yr)
Sharpe (3yr)
1yr Total Return
3yr Total Return
5yr Total Return
1,721.25 Million
0.08% (3rd percentile)
3.66% (38th percentile)
0.64% (26th percentile)
14.01% (26th percentile)
13.48% (43rd percentile)
N/A
>= 75 Million
Top 75% of peer group
Top 50% of peer group
Top 50% of peer group
Top 50% of peer group
Top 50% of peer group
Top 50% of peer group
VALUE
13.73
-
Sharpe Ratio
RANK
VALUE
3 YR
26 (149 Peers)
0.64
5 YR
-
-
MINIMUM CRITERIA
MPT STATISTICS
Measured Against Broad Index Benchmark
Alpha
The Fi360 Fiduciary Score® is a peer percentile ranking of an investment against a set of quantitative due
diligence criteria selected to reflect prudent fiduciary management. The Fi360 Fiduciary Score® Average is a
one-, three-, five-, or ten-year rolling average of an investment’s Fi360 Fiduciary Score®. All Scores are color
coded based on the quartile they fall in (1st - Green; 2nd - Light Green; 3rd - Yellow; 4th - Red). The composition
and style criteria may be excluded in the table above due to the investment’s peer group. Investments without
the required inception date (3 years) will not receive a Fiduciary Score.
PERFORMANCE
Total Return (no load)
Total Return (with load)
RANK
14 (149 Peers)
-
RANK
VALUE
3 YR
38 (149 Peers)
3.66
5 YR
-
-
R-Squared
RANK
VALUE
3 YR
16 (149 Peers)
95.94
5 YR
-
-
Beta
3 YR
5 YR
1 MO
3 MO
YTD
1 YR
3 YR
5 YR
10 YR
1.20
-
0.85
0.85
10.5
10.5
10.87
10.87
14.01
14.01
13.48
13.48
-
-
Measured Against Best-Fit Index
43
149
13.27
79
11.39
-
3 YR
-1.77
-
-
EXPENSES
Percentile Rank
Number of Peers
Peer Group Median
0.79
10.91
10.29
26
229
13.14
+/- Best Fit Index
-0.5
-1.49
-0.67
-1.86
Mutual funds and Exchange Traded Funds (ETFs) are sold by prospectus. Please consider the investment
objectives, risks, charges and expenses carefully before investing. The prospectus, and, if available, the
summary prospectus, which contains this and other information, can be obtained by calling your financial
advisor. Read the prospectus and, if available, the summary prospectus carefully before you invest. The
performance information shown represents past performance and is not a guarantee of future results.
Investment returns and principal value of an investment will fluctuate so that when shares are redeemed, they
may be worth more or less than their original cost. Current performance may be higher or lower than the data
shown. For the most recent month-end performance and information on expenses, visit
www.fi360.com/directory. Percentile ranks calculated by Fi360, are based on the return shown compared to peer
group (1 = top rank), do not account for sales charges, and are not provided for periods under a year.
ALPHA
R-SQUARED
BETA
-1.15
99.34
0.95
Net Expense Ratio
Gross Expense Ratio
Initial Investment
Investment and Insurance Products: NOT FDIC Insured / NO Bank Guarantee / MAY Lose Value
Please see important disclosures in the Statement of Additional Disclosures. © 2025, Broadridge Financial Solutions, Inc. All rights reserved. The analysis
and opinions generated by Broadridge and its affiliates do not constitute professional investment advice and are provided solely for informational purposes.
0.08
0.08
1,000