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Our objective is to manage holdings within the following balanced portfolio:
S&P 500 Index (.60) + MSCI EAFE (0.10) + Barclay's Aggregate Bond (.30)

2009-2010 Annual report available in April 2010

Monthly & Annual Reports
(Opens a Word or PDF Document)

2006-2007 2006 - 2007 Annual Report
  November 2006 February 2007 2006 Qtr 4
  December 2006 March 2007  
  January 2007 April 2007  
   
2005-2006 Annual Report


 
   
2004-2005 4th Quarter 2004 Report
  December 2004    
  November 2004    
  October 2004    
   
2003-2004 February 2004 October 2003  
  January 2004 September 2003  
  December 2003 August 2003  
  November 2003    
   
2002-2003 4th Quarter 2002 Report
  March 2003 December 2002  
  February 2003 November 2002  
  January 2003 October 2002