Cameron International Corporation Retirement Savings Plan

Performance

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Since: QTD9/30/2020 1 Year4/23/2023 Inception9/29/2013
Portfolio 17.82% 19.36% 126.05%
Target-Date 2030 -5.05% 7.81% 59.91%
Difference +22.87% +11.55% +66.15%
The returns numbers shown account for the model's periodic rebalancing.

Current Recommendations

(as of 9/30/2020)

Diversification

(as of 9/30/2020) Help

Risk profile

(as of 9/30/2020) Help

Fund's Risk

11%

(moderate)

Compare to:
Cash (1%)
Bonds(3%)
Bonds & Stocks(8%)
US Stocks (16%)
Inti. (->)