Portfolio Optimizer

Asset Allocation — Adjust Weights & Expected Returns Below
◼ BlackRock ◼ Your Portfolio
Asset Class Ticker Weight Exp. Return Volatility Weight Exp. Return Volatility
Sharpe Ratio
Expected Return
Volatility
BlackRock Lifepath 2065
Sharpe Ratio 0.23
Expected Return 7.43%
Volatility 17.47%
Comparison vs BlackRock
Exp. Return — Yours
Exp. Return — BLK 7.43%
Volatility — Yours
Volatility — BLK 17.47%