TVA Portfolio Returns (Table)

The following table indicates the CMG's annual returns on the TVA portfolio since the program began in 1998.

 

YearCMG Return (%)Benchmark Return (%)
2012 10.46 16.0 S&P 500
2011 3.96 2.11 S&P 500
2010   -8.866 -4.623 S&P 500
2009 34.56 26.46 S&P 500
2008 -44.03 -37.00 S&P 500
2007 3.24 5.49 S&P 500
2006 13.22 15.79 S&P 500
2005 16.54 4.91 S&P 500
2004 19.79 10.88 S&P 500
2003 31.01 28.69 S&P 500
2002 -25.86 -24.52 S&P/Barra Growth
2001 -9.05 -13.52 S&P/Barra Growth
2000 -24.94 -22.51 S&P/Barra Growth
1999 2.80 19.53 S&P 500
1998, Q4* 23.04 20.87 S&P 500

 

*TVA disbursed funds on March 6, 1998 and began tracking performance October 1, 1998.