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The Wilshire TargetIncome 10-Year Treasury +2% Plus IndexSM measures an investment strategy that provides broad exposure to income-producing asset classes, using a universe of exchange-traded funds (ETFs) with the goal of achieving an annualized target income yield in excess of the U.S. 10-Year Treasury plus two percent (U.S. 10-Yr Treasury ‘+2%’). The index uses an optimization approach which aims to minimize overall portfolio risk while meeting the stated yield target.The defined income-producing asset classes are each represented by an ETF, which collectively comprise the eligible universe of ETFs that can be selected into the index.