
Effective 1/1/2022, the Policy Index consists of: 20% Russell 3000, 10% MSCI EAFE, 5% MSCI Emerging Markets, 25% MSCI ACWI, 22% (65% MSCI ACWI Net / 35% Bloomberg Aggregate), 2% C|A Global All PE (Quarter Lag), 1% C|A Global Credit (Quarter Lag), 13.5% Bloomberg US Aggregate TR, and 1.5% 91 Day T-Bills.”