Just taking a look at a 3yr instead of a 5yr scan for a portfolio. At my age long range is getting shorter.
This scan is part of a continuing study of covariance in portfolio design. It is the easiest way to share data with others collaborating on the study and it may change format etc. as work proceeds.
This year the scan is for the Option Three-Other Funds on page 8 of the John Deere Retirement Savings Plan posted on the web. I have no information on employee asset allocations.
5yr Market Data 2011, 2010,2009, 2008, 2007 3yr Market Data 2011, 2010, 2009 10yr Market Data 2011-2002