Portfolio Objectives

Fund 80 is an aggressive target portfolio which seeks a high level of capital appreciation and some income by investing approximately 80% of its net assets in a broad range of domestic equity, international equity, and real estate investment funds with the remaining 20% invested in fixed income investment funds.

Target Fund 80

Asset Allocation

Fund Percent
Fixed Income
Vanguard Total Bond Market Index Fund 13%
Vanguard Short‐Term Inflation‐Protected Securities Index Fund 3%
Vanguard Short‐Term Bond Index Fund 4%
Real Estate
Vanguard Real Estate Index Fund 5%
Fund Percent
Domestic (U.S.) Equity
Vanguard Total Stock Market Index Fund 49%
International Equity
Vanguard Total International Stock Index Fund 26%

Portfolio Performance

As of June 30, 2020

PortfolioYTD3 Mo1yr3yr5yrLTDExp. RatioInception Date
Target Fund 80-3.67%16.56%3.67%6.32%6.52%8.43%0.30%8/2/10

Fund Performance3

As of 12/31/2019

Domestic Equity FundExpense RatioTickerQTRYTD1yr3yr5yr10yr or Life of FundInception Date
Vanguard Total Stock Market Index Fund
Fact Sheet, Prospectus, Annual Report
0.02%VSMPX9.00%30.82%30.82%14.57%n/a11.15%4/28/15
Fixed Income FundsExpense RatioTickerQTRYTD1yr3yr5yr10yr or Life of FundInception Date
Vanguard Total Bond Market Index Fund
Fact Sheet, Prospectus, Annual Report
0.04%VBTIX0.03%8.73%8.73%4.03%3.01%3.70%9/18/95
Vanguard Short-Term Inflation-Protected Securities Index Fund
Fact Sheet, Prospectus, Annual Report
0.04%VTSPX1.05%4.82%4.82%2.06%1.75%0.77%10/17/12
Vanguard Short-Term Bond Index Fund
Fact Sheet, Prospectus, Annual Report
0.05%VBITX0.37%4.88%4.88%2.47%1.97%1.62%9/27/11
International Equity FundExpense RatioTickerQTRYTD1yr3yr5yr10yr or Life of FundInception Date
Vanguard Total International Stock Index Fund
Fact Sheet, Prospectus, Annual Report
0.08%VTSNX9.05%21.56%21.56%9.90%5.88%5.24%11/29/10
Real Estate FundExpense RatioTickerQTRYTD1yr3yr5yr10yr or Life of FundInception Date
Vanguard Real Estate Index Fund
Fact Sheet, Prospectus, Annual Report
0.10%VGSNX0.63%29.02%29.02%8.39%7.20%12.01%12/2/03