(ETF) Multi-Asset - 21-40% Growth Assets Index


Peer Index Comparison Report
September 30, 2024

Value Added Monthly Index

Monthly Return

Return and Risk Report

Total Return Summary

Rolling Return

12 Month Rolling Return

-24%-20%-10%0%10%20%30%35%AprJulOctAprJulOctAprJulOctAprJul2021202220232024(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETF

36 Month Rolling Return

-11%-10%0%10%20%30%40%45%MarMayJulSepNovMarMayJulSep20232024(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETF

Sharpe Ratio Summary

Rolling Sharpe Time

Risk/Return

Risk/Return 1 Year

RiskPerformance Return0.0%3.0%6.0%9.0%12.0%15.0%10.0%12.0%15.0%18.0%21.0%24.0%(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETFAverage Risk/ReturnAve. Return 17.03%Ave. Risk7.87%Ave. Return 17.03%Ave. Risk7.87%Ave. Return 17.03%Ave. Risk7.87%Ave. Return 17.03%Ave. Risk7.87%

Risk/Return 2 Year

RiskPerformance Return0.0%3.0%6.0%9.0%12.0%15.0%5.0%10.0%15.0%20.0%(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETFAverage Risk/ReturnAve. Return 14.08%Ave. Risk7.67%Ave. Return 14.08%Ave. Risk7.67%Ave. Return 14.08%Ave. Risk7.67%Ave. Return 14.08%Ave. Risk7.67%

Risk/Return 3 Year

RiskPerformance Return5.0%6.0%8.0%10.0%12.0%14.0%15.0%0.0%2.0%4.0%6.0%8.0%(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETFAverage Risk/ReturnAve. Return 3.83%Ave. Risk9.45%Ave. Return 3.83%Ave. Risk9.45%Ave. Return 3.83%Ave. Risk9.45%Ave. Return 3.83%Ave. Risk9.45%

Risk/Return Incp

RiskPerformance Return5.0%6.0%8.0%10.0%12.0%14.0%15.0%0.0%2.0%4.0%6.0%8.0%(ETF) Multi-Asset - 21-40% Growth Assets IndexBetaShares Ethical Divers High Gr ETFVanguard Diversified Conservative ETFAverage Risk/ReturnAve. Return 4.97%Ave. Risk8.91%Ave. Return 4.97%Ave. Risk8.91%Ave. Return 4.97%Ave. Risk8.91%Ave. Return 4.97%Ave. Risk8.91%

Drawdown

Correlation

Performance Review

Success Ratios