Providers
Northern Trust
| TOTAL DCIO ASSETS ($MM) | |
|---|---|
| Q1 2014 | $110,887 |
| Year ending 12/31/2013 | $105,256 |
| Year ending 12/31/2012 | $79,400 |
| TOP DCIO FUND | |
|---|---|
| Fund name | S&P 500 Index Fund - DC Non Lending |
| Fund assets ($MM) | $16,991 |
| Portfolio manager | Team-managed |
| Start date | 2002 |
| DCIO ASSET BREAKDOWN (does not include “other” categories) | |
|---|---|
| Mutual funds | 3% |
| Collectives | 96% |
| Separate accounts | 1% |
| Stocks | 77% |
| Bonds (excluding stable value) | 14% |
| Stable value | 1% |
| Money market | 0% |
| Asset allocation* | 8% |
| % Active/Passive | |
| ADVISER SUPPORT/SERVICES | |
|---|---|
| Salespeople focused on advisers | 4 |
| Salespeople focused on institutional | 6 |
| Compliance support | |
| Plan benchmarking | |
| Target-date evaluation tools | |
| Training for DC plan sales/service | |
| Investment committee meetings | |
| # OF RK SELLING AGREEMENTS | 41 |
|---|
| *Target-date, target-risk, balanced. |