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Prices & Performance
Monthly Target Target as of October 31, 2024 APY YTD Returns at NAV as of 10/31/2024 Average Annual Total ReturnsFootnote 1as of 10/31/2024 Expense RatioFootnote 2 Max Sales Charge Inception Date 1 Yr 3 Yrs 5 Yrs 10 Yrs Since InceptionFootnote 4 Target Portfolios Fund 100 - 8.62% 25.22% 1.97% 8.55% 8.11% 6.97% 0.79% 3.50% 11/18/05 Fund 80 - 7.09% 21.72% 1.46% 7.26% 6.93% 6.51% 0.76% 3.50% 11/18/05 Fund 60 - 5.16% 17.58% 0.77% 5.46% 5.45% 5.53% 0.74% 3.50% 11/18/05 Fund 40 - 3.44% 13.50% 0.30% 3.97% 4.12% 4.49% 0.71% 3.50% 11/18/05 Fund 20 - 1.78% 8.83% -0.03% 2.28% 2.56% 3.10% 0.64% 3.50% 11/18/05 Fund 10 - 0.82% 6.12% 0.05% 1.56% 1.76% 2.12% 0.57% 3.50% 11/18/05 Fixed Income Fund - 0.09% 2.78% 0.63% 0.97% 1.00% 1.37% 0.48% 3.50% 11/18/05 For optimal print quality, turn on "Background graphics" in your print options.
Past performance is not necessarily an indication of future performance. Investment return and principal value will fluctuate, and you may have a gain or loss when you sell your shares. Current performance may be lower or higher than the performance data above. Performance information is current as of the most recent timeframe referenced above and is net of the Underlying Investment expenses, the program management fee, state fee, and any applicable account servicing fee.
For more information about the risks associated with each Investment Option and Underlying Investments, read the Program Disclosure Statement and the fund prospectus. The Investment Options’ risks are directly related to the risks of the Underlying Investments.
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