You're failing to consider how the current "short term" issue is affecting these results.
For example, if you look at returns from Jan 8, 2005 to Jan 8, 2015, the returns were as follows:
S fund: 120%
C fund: 72%
I fund: 11%
http://bigcharts.marketwatch.com/advchart/frames/frames.asp?show=&insttype=Index&symb=dwcpf&time=100&startdate=1%2F8%2F2005&enddate=1%2F8%2F2015&freq=1&compidx=aaaaa%3A0&comptemptext=spx+efa&comp=spx+efa&ma=0&maval=50+200&uf=0&lf=1&lf2=0&lf3=0&type=2&style=320&size=4&x=59&y=9&timeFrameToggle=false&compareToToggle=false&indicatorsToggle=false&chartStyleToggle=false&state=15
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Posted by: sarah_oz@yahoo.com
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