Median Total Master Trust Return Continues Positive Performance for Third Straight Quarter in Q3 2019 According to BNY Mellon U.S. Master Trust Universe/BNY Mellon Asset Strategy View®
The BNY Mellon
For the fourth quarter in a row, corporate plans outperformed, as public market investment allocations continued to outperform allocations to alternatives. Endowment performance continued to lag other plan types due to having the largest allocation to alternatives.
"Corporate pensions have more long duration fixed income than other types of investors as a result of their pension obligations. This quarter, the corporate pension fixed income assets outperformed the total universe fixed income composites by over 200 bps. Corporate pensions also benefited from relatively higher allocations to US equities relative to non-
Additional Q3 Highlights
- Less than 8% of plans posted negative results during the quarter
- Corporate Plans saw the highest median return (+2.63%), followed by Healthcare Plans (+1.10%)
U.S. equities posted a quarterly median return of +0.75%, versus the Russell 3000 Index return of +1.16%. Non-U.S. equities saw a median return of -1.49%, compared to the FTSE Developed exU.S. Net Index result of -0.95%.U.S. fixed income had a median return of +2.13%, versus the Barclays CapitalU.S. Aggregate Bond Index return of +2.27%. Non-U.S. fixed income had a median return of +0.02%, versus the FTSE World Government Bond Non-US Index return of -0.11%. Real estate had a median return of +1.32%, versus the NCREIF Property Index result of +1.41%.
BNY Mellon
|
BNY Mellon |
|||||
|
Period Ending |
|||||
|
Universe |
Number of |
3Q |
One- Year |
Five- |
Ten- |
|
|
502 |
1.09 |
5.91 |
6.35 |
8.05 |
|
Corporate Plans |
219 |
2.63 |
9.68 |
6.95 |
8.57 |
|
Foundations |
74 |
0.59 |
3.81 |
5.61 |
7.47 |
|
Endowments |
68 |
0.47 |
4.45 |
5.81 |
7.63 |
|
Public Plans |
79 |
0.89 |
4.72 |
6.43 |
8.27 |
|
Taft-Hartley Plans |
29 |
0.34 |
3.39 |
5.85 |
7.59 |
|
Health Care Plans |
22 |
1.10 |
6.53 |
5.89 |
- |
|
*All returns are posted gross of fee results. |
|||||
|
BNY Mellon Asset Allocation Medians of those invested by Asset Class |
||||
|
Period Ending |
||||
|
Asset Class |
Q3 2019 |
One Year Ago |
Three Years Ago |
Five Years Ago |
|
US Equity |
20% |
23% |
23% |
24% |
|
Non-US Equity |
13% |
14% |
15% |
15% |
|
Global Equity |
6% |
5% |
5% |
5% |
|
US Fixed Income |
23% |
21% |
20% |
21% |
|
Global Fixed Income |
2% |
2% |
2% |
2% |
|
Non-US Fixed Income |
2% |
3% |
3% |
4% |
|
TIPS/Inflation Linked Bonds |
3% |
3% |
3% |
3% |
|
Real Estate |
13% |
13% |
14% |
15% |
|
Private Equity |
9% |
9% |
8% |
8% |
|
Other Real Assets |
5% |
5% |
5% |
5% |
|
Hedge Funds |
2% |
3% |
3% |
3% |
|
Cash |
1% |
1% |
2% |
2% |
About
Barclays Capital
© Barclays Bank PLC 2016. This data is provided by Barclays Bank PLC all rights are reserved.
FTSE Non-US World Government Bond, FTSE Developed x US Index, Russell 3000 Index:
Source: London Stock Exchange Group plc and its group undertakings (collectively, the "
Contact:
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+1 212 635 1378
SOURCE



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