Fund & Portfolio Comparison

Performance Comparison
Comparison Box

Portfolio Performance Comparison
Name YTD Return 1Yr AR 3Yr AR 5Yr AR 10Yr AR 15Yr AR 20Yr AR Common Inception
PERRIGO COMPANY PROFIT-SHARING AND INVESTMENT PLAN Strategic Asset Allocation – Optimal Moderate NA -9.10% 5.33% 5.85% 5.83% 5.51% 6.98%
Data as of 04/29/2022, Common starting date is 12/31/2000
More Performance Analytics Comparison
Name Start Date End Date
PERRIGO COMPANY PROFIT-SHARING AND INVESTMENT PLAN Strategic Asset Allocation – Optimal Moderate 12/31/2000 07/12/2022
Last 1 Week 1 Yr 3 Yr 5 Yr 10 Yr 15 Yr 20 Yr Common Inception 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001
Annualized Return (%) -2.04 -9.10 5.33 5.85 5.83 5.51 6.98 -15.07 3.75 21.38 14.91 -4.45 10.14 5.81 0.32 2.20 12.48 12.56 2.11 14.50 24.05 -22.68 10.36 10.79 6.93 16.83 26.19 -0.43 4.92
Sharpe Ratio NA -1.23 0.13 0.28 0.50 NA NA -1.18 0.35 1.12 1.56 -0.60 1.91 0.65 0.04 0.29 1.76 1.59 0.14 1.30 1.47 -1.10 0.81 0.95 0.69 1.93 3.92 -0.16 0.31
Standard Deviation(%) NA 11.11 14.27 12.19 10.14 NA NA 12.98 10.74 18.92 8.65 9.62 4.98 8.62 8.29 7.53 7.07 7.88 14.47 11.13 16.31 21.36 9.11 7.94 6.86 8.25 6.50 9.44 8.29
Draw Down(%) NA 17.30 22.93 22.93 22.93 NA NA 16.48 8.42 21.94 5.42 13.00 2.54 7.44 8.15 5.65 6.36 5.70 12.42 7.96 18.60 34.85 6.14 8.40 4.92 6.21 4.40 14.71 9.68
Yield(%) NA 4.61 5.93 4.32 4.00 NA NA 2.34 2.81 11.33 2.67 3.18 0.35 3.71 4.12 4.50 3.27 3.52 3.45 3.34 2.66 3.56 5.58 5.76 3.19 5.18 6.20 4.68 5.60
Data as of 04/29/2022, Common starting date is 12/31/2000
Performance Comparison Chart
Annualized Rolling Returns Comparison (Minimum)
Ticker/Portfolio Name 3 Year 5 Year 10 Year 15 Year
PERRIGO COMPANY PROFIT-SHARING AND INVESTMENT PLAN Strategic Asset Allocation – Optimal Moderate -6.97%
Feb 2006 – Feb 2009
0.03%
Feb 2004 – Feb 2009
5.05%
Mar 2010 – Mar 2020
5.02%
Jun 2007 – Jun 2022
Annualized Rolling Returns Comparison (Maximum)
Ticker/Portfolio Name 3 Year 5 Year 10 Year 15 Year
PERRIGO COMPANY PROFIT-SHARING AND INVESTMENT PLAN Strategic Asset Allocation – Optimal Moderate 20.56%
Feb 2009 – Feb 2012
16.02%
Feb 2009 – Feb 2014
9.98%
Mar 2003 – Mar 2013
8.58%
Jan 2003 – Jan 2018
Annualized Rolling Returns Comparison Chart

3-Year Annualized Rolling Return