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Qualitau, Inc.

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  • Conservative
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Performance

Help
Portfolio Return 0.00% 0.00% 0.00%
Comparable Target-Date Fund
[why this comparison?]
0.00%

Target-Date 2020

0.00%

Target-Date 2030

0.00%

Target-Date 2050

Value-added by Kivalia

($100k starting amount)

0.0 (0.0%) 0.0 (0.0%) 0.0 (0.0%)

Current Recommendations

(as of 9/30/2020)Help
or, PERSONALIZE FOR MY ACCOUNT

($20 / mo.)

NAME TICKER CONSERVATIVE MODERATE AGGRESSIVE
BlackRock Global Allocation Fund, Inc. Investor A Shares MDLOX 6% - -
John Hancock Funds Retirement Living through 2020 Portfolio Class A JLDAX 14% - -
John Hancock Funds Retirement Living through 2025 Portfolio Class A JLEAX 24% 25% -
MainStay Large Cap Growth Fund Class R2 MLRTX 5% 6% 14%
PIMCO Total Return Fund Class A PTTAX 9% - -
Invesco Equity and Income Fund Class A ACEIX 12% 19% -
JPMorgan U.S. Equity Fund Class A JUEAX 12% 24% 39%
John Hancock Funds Retirement Living through 2015 Portfolio Class A JLBAX 18% - -
John Hancock Funds Retirement Living through 2030 Portfolio Class A JLFAX - 10% -
John Hancock Funds Retirement Living through 2045 Portfolio Class A JLJAX - 16% 18%
BlackRock Equity Dividend Fund Investor A Shares MDDVX - - 5%
MFS Value Fund Class A MEIAX - - 7%
John Hancock Funds Disciplined Value Mid Cap Fund Class R2 JVMSX - - 17%
Total Portfolio 100% 100% 100%

Diversification

(as of 9/30/2020)Help
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Help - Portfolio Returns

Kivalia provides a refined returns value by showing the portfolio risk-adjusted return. These return values took into account the amount of risk involved in getting the return. Risk-adjusted returns will help reveal whether a return was obtained by smart investing or by taking excessive risk.

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Help - Portfolio Allocations

The portfolio allocations section shows the percentage weights of each asset selected in the portfolio construction process. These assets with its corresponding weights are the information you use to invest your retirement contributions.

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Help - Risk & Diversification

This section shows your portfolio risk and a comparative scale of the typical risk level of several investment strategies so you know where you stand relative to the market. The risk is expressed in percentage, between 0% (no risk at all) to potentially more than 100% (extremely risky).

Your diversification is expressed in percentage, from 0% (poor diversification) to 100% (very good diversification).

Style analysis provides you an idea of the investment style essentially by comparing the returns of this portfolio against the returns of 30 varying indices. It provides you with a better idea on what drives the performance of this portfolio.

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