19% Large Value12% Large Growth13% Mid Value9% Mid Growth9% Small Value6% Small Growth15% International15% Emerging MarketsReturns over all 5 year periods between Jan 1988 and Mar 2007:Avg. Annualized Return: 11.2%Best Return: 19.3%Worst Return: -2.9%Adjusting this portfolio for what I would do specifically today with how I think things will play out in the future and what is valued where, I would go with something like this:15% Lg. Value15% Lg. Growth10% Mid Value10% Mid Growth10% Small Value10% Small Growth20% International10% Emerging MarketsThese are of course using indices, not individual stocks.-Will
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