Quarterly returns updated as of: June 30, 2010

SECURITY NAME & LINK TO MORNINGSTAR DATA TICKER OBJECTIVE NAV OR PRICE YTD 1 MO. 3 MO. 12 MO. 3 YR. 5 YR. 10 YR. 2009 2008 2007 2006 2005 2004 2003
American Century Infl-Adj Bond Inv ACITX Inflation-Protected Bond 11.8 3.99 1.43 3.81 9.5 7.58 4.78 6.96 10.58 -1.02 10.95 0.06 2.42 7.95 7.35
Federated Money Market ACMXX Money Market 1.0 - - - - - - - - - - - - - -
Columbia Acorn Z ACRNX Mid-Cap Growth 23.87 -3.16 -6.46 -9.75 23.2 -7.08 2.43 7.73 39.65 -38.55 7.7 14.45 13.11 21.51 45.68
American Century Large Co Val Inv ALVIX Large Value 4.6 -8.32 -5.58 -11.89 11.12 -13.49 -3.02 2.92 20.69 -37.38 -0.95 19.81 4.17 14.28 28.97
Dreyfus Small Cap Stock Index DISSX Small Blend 16.46 -1.02 -7.16 -8.81 23.22 -7.68 0.63 5.22 25.22 -30.77 -0.62 14.69 7.31 22.21 37.74
Dodge & Cox International Stock DODFX Foreign Large Value 28.39 -10.86 -1.87 -14.05 13.24 -11.24 2.84 - 47.46 -46.69 11.71 28.01 16.75 32.46 49.42
Fidelity Balanced FBALX Moderate Allocation 16.0 -1.74 -2.68 -5.66 15.85 -4.59 2.63 4.89 28.05 -31.31 8.99 11.65 10.68 10.94 28.24
Fidelity Stock Selector Sm Cap FDSCX Small Growth 13.82 -0.72 -7.56 -9.02 22.49 -13.36 -1.53 1.73 32.28 -46.99 7.3 14.59 10.96 15.02 34.89
Fidelity Value FDVLX Mid-Cap Value 54.47 -4.34 -7.85 -12.22 26.88 -12.23 -1.06 6.52 44.08 -46.52 2.21 15.09 14.27 21.21 34.43
Fidelity International Discovery FIGRX Foreign Large Blend 26.27 -13.44 -2.38 -14.18 6.5 -12.62 1.75 2.32 30.07 -44.28 18.98 24.22 18.55 19.05 43.34
Hartford Midcap R5 HFMTX Mid-Cap Growth 19.32 -0.82 -5.2 -8.35 21.13 -6.5 3.2 5.01 30.16 -35.82 14.72 11.04 16.25 15.94 35.84
Eagle Mid Cap Stock R5 HMRSX Mid-Cap Growth 21.97 -5.42 -4.97 -9.59 17.24 -8.08 1.92 5.09 31.62 -37.37 13.68 13.23 9.25 17.5 24.75
Dreyfus MidCap Index PESPX Mid-Cap Blend 22.23 -1.64 -6.64 -9.71 24.29 -6.21 1.83 4.84 37.04 -36.45 7.56 9.87 12.05 15.93 34.94
T. Rowe Price International Eq Index PIEQX Foreign Large Blend 9.64 -13.31 -1.53 -14.54 5.24 -13.04 1.07 - 30.42 -42.56 11.78 26.33 13.38 19.18 38.08
American Century Real Estate Inv REACX Real Estate 15.19 5.86 -5.16 -3.66 53.31 -11.96 -1.31 9.13 26.69 -43.26 -15.8 34.69 15.99 29.68 39.78
American Funds EuroPacific Gr R4 REREX Foreign Large Blend 33.42 -11.4 -0.83 -12.05 9.49 -7.92 4.98 2.68 39.13 -40.56 18.87 21.83 21.05 19.63 32.88
American Funds Fundamental Invs R4 RFNEX Large Blend 29.96 -7.63 -3.94 -11.46 12.82 -8.81 2.15 2.16 33.32 -39.7 13.51 19.12 11.61 13.85 31.92
American Funds Growth Fund of Amer R4 RGAEX Large Growth 24.94 -8.0 -4.52 -11.69 10.35 -8.51 0.82 -0.02 34.54 -39.07 10.88 10.91 14.22 11.94 32.83
American Funds Inc Fund of Amer R4 RIDEX Moderate Allocation 14.62 -3.5 -1.36 -6.3 16.34 -5.98 1.76 5.65 24.48 -28.94 3.68 20.19 3.25 12.8 25.16
American Funds American Hi Inc Tr R4 RITEX High Yield Bond 10.66 4.06 0.53 -0.74 25.62 3.15 5.48 6.47 48.4 -27.55 1.46 12.12 3.57 9.65 28.6
American Funds Capital World G/I R4 RWIEX World Stock 29.32 -12.33 -2.06 -12.46 8.35 -9.04 3.17 5.38 32.29 -38.41 17.43 22.24 14.62 19.33 38.99
Columbia Income Z SRINX Intermediate-Term Bond 9.51 4.15 1.24 1.25 18.56 6.52 4.97 6.7 28.56 -10.69 1.7 4.53 2.19 6.03 11.97
T. Rowe Price Retirement Income TRRIX Retirement Income 11.94 -1.07 -1.4 -4.14 11.71 0.08 3.7 - 22.07 -18.39 6.1 9.98 4.87 7.66 16.26
T. Rowe Price Value TRVLX Large Value 19.25 -6.01 -6.14 -11.49 17.37 -10.66 -0.1 3.98 37.15 -39.76 0.75 19.75 6.3 15.36 30.0
Vanguard Asset Allocation VAAPX Moderate Allocation 21.0 -1.59 -3.21 -5.54 15.09 -9.61 -0.74 0.75 17.92 -36.39 6.58 16.03 5.0 11.09 26.42
Vanguard Short-Term Bond Index VBISX Short-Term Bond 10.6 2.95 0.75 1.81 5.31 6.0 4.86 5.08 4.28 5.43 7.22 4.09 1.31 1.7 3.37
Vanguard 500 Index Investor VFINX Large Blend 94.91 -6.71 -5.24 -11.45 14.33 -9.84 -0.87 -1.67 26.49 -37.02 5.39 15.64 4.77 10.74 28.5
Vanguard Small Cap Value Index VISVX Small Value 12.92 -1.03 -8.04 -10.15 27.26 -8.12 0.25 7.04 30.34 -32.06 -7.07 19.24 6.07 23.55 37.19
Vanguard Morgan Growth VMRGX Large Growth 14.27 -6.55 -5.56 -11.09 15.16 -8.62 0.13 -1.84 36.1 -41.43 11.22 11.09 9.09 10.47 33.73