My company provides the following options. i don't know how to narrow down which funds would get me well diversified, while keeping the expence ratio down. Any help coming up with a good portfolio given these options would be greatly appreciated.
Thanks!
Commodities Broad Basket
PIMCO Commodity Real Ret Strat Admin PCRRX Exp Ratio: 0.99%
Diversified Emerging Mkts
DFA Emerging Markets I EDFEMX Exp Ratio: 0.56%
Domestic Hybrid
Invesco Van Kampen Equity and Income Fund ACEIX Exp Ratio: 0.79%
Foreign Large Value
Dodge & Cox International Stock DODFX Exp Ratio: 0.64%
Foreign Stock
Europacific Growth Fund R5RERFX Exp Ratio: 0.53%
Inflation Protected Bond
American Century Inflation Adjusted Bond Investor Class ACITX Exp Ratio: 0.47%
Intermediate-term Bond
Dodge & Cox Income Fund DODIX Exp Ratio: 0.44%
Large Blend
Columbia Large Cap Index Z NINDX Exp Ratio: 0.20%
Large Growth
T. Rowe Price New American Growth PRWAX Exp Ratio: 0.79%
Large Value
T. Rowe Price Equity Income PRFDX Exp Ratio: 0.66%
Mid-Cap Blend
Vanguard Mid Cap Index Admiral Shares VIMAX Exp Ratio: 0.09%
Mid-Cap Growth
Vanguard Mid-Cap Growth Index Inv VMGIX Exp Ratio: 0.23%
Mid-Cap Value
Vanguard Selected Value VASVX Exp Ratio: 0.41%
Real Estate
Nuveen Real Estate Securities Fund FREAX Exp Ratio: 1.3%
Small Blend
DFA US Small Cap I DFSTX Exp Ratio: 0.37%
Small Growth
Vanguard Small Cap Growth Index Admiral VSGAX Exp Ratio: 0.09%
Small Value
Vanguard Small Cap Value Index VISVX Exp Ratio: 0.23%
Stable Value
UTC Stable Value Trust UTCSV Exp Ratio: 0.65%
World Stock
American Funds New Prespective R5 RNPFX Exp Ratio: 0.49%
Capital World Growth and Income R5 Shares RWIFX Exp Ratio: 0.49%