


The Balanced portfolio in this plan has 48.6% of the plan invested in the stable value fund FMIP2 in the scan. The employee portfolio has company stock LLL as its largest investment and a similar amount in the stable value fund. That increased the volatility of their porfolio with no increase in APR return. I would reduce the percentage of company stock to no more than 10% in all plans as I have said many times.
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