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SFM Growth Portfolios

SFM Portfolio
(as of 6/30/2020)
Max Drawdown (5 yr)Dividend Yield 3-Month Return 1-Year Return 3-Year Avg. Annual Return Annual Portfolio CostStrategy Summary
Conservative Growth 
22%
3.2%
7.5%
-1.3%
4.7%
0.5%
Moderate Growth21%1.7%13.8%9.5%11.0%0.3%More Info
Buffered-ETF Global Equity
NAN/A6.6%N/AN/A0.8%More Info
Aggressive Growth28%2.4%12.1%2.3%8.4%0.2%More Info
Quality Stocks33%1.8%9.6%6.6%11.7%0.1%More Info
Global All-Cap All-Stock37%2.0%21.7%-1.8%5.6%0.1%More Info


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