TIER I – Target Risk Funds
Investment Overview
There are four Target Risk Funds – Income, Conservative, Moderate and Aggressive Target Risk Funds offer the simplicity of a diversified portfolio in a single investment fund. You have the option to select a fund based on your investment risk tolerance. Through this approach, a single target risk fund is designed to provide an efficient, balanced portfolio based on risk tolerances. The Target Risk Fund portfolios are primarily composed of the underlying Tier III – Actively Managed Funds with the target allocations indicated below.
Get a complete portfolio in a single fund
Less risk through broader diversification
A professionally managed asset mix
Automatic rebalancing
INCOME FUND |
Target Allocations
|
65% Stable Value Fund
|
15% Vanguard Short TIPS Fund (VTAPX)
|
10% International Stock Fund |
10% Large Cap Core Stock Fund |
Gross/Net Investment Expense – 0.34%/0.34% ($3.40 per $1,000 Gross) |
Target Risk – Risk Profile |
R |
CONSERVATIVE FUND |
Target Allocations |
40% Stable Value Fund |
20% Fixed Income Fund |
5% Diversified Inflation Real Return Fund |
15% Large Cap Core Stock Fund |
5% Small/Mid Cap Core Stock Fund |
15% International Stock Fund |
Gross/Net Investment Expense – 0.39%/0.39% ($3.90 per $1,000 Gross) |
Target Risk – Risk Profile |
|
MODERATE FUND |
Target Allocations |
8% Stable Value Fund |
24% Fixed Income Fund |
10% Diversified Inflation Real Return Fund |
25% Large Cap Core Stock Fund |
5% Small/Mid Cap Core Stock Fund |
28% International Stock Fund |
Gross/Net Investment Expense – 0.45%/0.45% ($4.50 per $1,000 Gross)
|
Target Risk – Risk Profile
|
|
AGGRESIVE FUND |
Target Allocations |
15% Fixed Income Fund |
13% Diversified Inflation Real Return Fund |
32% Large Cap Core Stock Fund |
5% Small/Mid Cap Core Stock Fund |
35% International Stock Fund |
Gross/Net Investment Expense – 0.50%/0.50% ($5.00 per $1,000 Gross) |
Target Risk – Risk Profile |