- Learn
Prices & Performance
Monthly Age-Based Age-Based 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 Age-Based Aggressive Portfolios Age-Based Aggressive 0-2 - 12.78% 30.07% 3.45% 9.60% - 10.40% 0.54% - 10/25/16 Age-Based Aggressive 3-5 - 12.02% 28.17% 3.23% 9.07% - 9.73% 0.52% - 10/25/16 Age-Based Aggressive 6-8 - 11.17% 26.42% 2.92% 8.29% - 8.91% 0.51% - 10/25/16 Age-Based Aggressive 9-10 - 10.17% 24.47% 2.57% 7.41% - 7.99% 0.51% - 10/25/16 Age-Based Aggressive 11-12 - 9.19% 22.13% 2.22% 6.48% - 7.07% 0.49% - 10/25/16 Age-Based Aggressive 13-14 - 8.31% 20.07% 1.93% 5.77% - 6.27% 0.49% - 10/25/16 Age-Based Aggressive 15-16 - 7.43% 17.92% 1.75% 4.98% - 5.47% 0.46% - 10/25/16 Age-Based Aggressive 17-18 - 6.51% 15.63% 1.44% 4.13% - 4.51% 0.43% - 10/25/16 Age-Based Aggressive 19+ - 5.67% 13.09% 1.41% 3.27% - 3.60% 0.39% - 10/25/16 Age-Based Moderate Portfolios Age-Based Moderate 0-2 - 12.02% 28.17% 3.23% 9.07% - 9.73% 0.52% - 10/25/16 Age-Based Moderate 3-5 - 11.17% 26.42% 2.92% 8.29% - 8.91% 0.51% - 10/25/16 Age-Based Moderate 6-8 - 10.17% 24.47% 2.57% 7.41% - 7.99% 0.51% - 10/25/16 Age-Based Moderate 9-10 - 9.19% 22.13% 2.22% 6.48% - 7.07% 0.49% - 10/25/16 Age-Based Moderate 11-12 - 8.31% 20.07% 1.93% 5.77% - 6.27% 0.49% - 10/25/16 Age-Based Moderate 13-14 - 7.43% 17.92% 1.75% 4.98% - 5.47% 0.46% - 10/25/16 Age-Based Moderate 15-16 - 6.51% 15.63% 1.44% 4.13% - 4.51% 0.43% - 10/25/16 Age-Based Moderate 17-18 - 5.67% 13.09% 1.41% 3.27% - 3.60% 0.39% - 10/25/16 Age-Based Moderate 19+ - 4.66% 10.20% 1.50% 2.53% - 2.73% 0.32% - 10/25/16 Age-Based Conservative Portfolios Age-Based Conservative 0-2 - 11.17% 26.42% 2.92% 8.29% - 8.91% 0.51% - 10/25/16 Age-Based Conservative 3-5 - 10.17% 24.47% 2.57% 7.41% - 7.99% 0.51% - 10/25/16 Age-Based Conservative 6-8 - 9.19% 22.13% 2.22% 6.48% - 7.07% 0.49% - 10/25/16 Age-Based Conservative 9-10 - 8.31% 20.07% 1.93% 5.77% - 6.27% 0.49% - 10/25/16 Age-Based Conservative 11-12 - 7.43% 17.92% 1.75% 4.98% - 5.47% 0.46% - 10/25/16 Age-Based Conservative 13-14 - 6.51% 15.63% 1.44% 4.13% - 4.51% 0.43% - 10/25/16 Age-Based Conservative 15-16 - 5.67% 13.09% 1.41% 3.27% - 3.60% 0.39% - 10/25/16 Age-Based Conservative 17-18 - 4.66% 10.20% 1.50% 2.53% - 2.73% 0.32% - 10/25/16 Age-Based Conservative 19+ - 3.99% 6.73% 2.14% 1.99% - 1.91% 0.23% - 10/25/16 Index Age-Based Moderate Portfolios Index Age-Based Moderate 0-2 - 13.64% 29.72% - - - 16.56% 0.19% - 11/15/22 Index Age-Based Moderate 3-5 - 12.79% 28.11% - - - 15.76% 0.19% - 11/15/22 Index Age-Based Moderate 6-8 - 11.44% 25.38% - - - 14.15% 0.19% - 11/15/22 Index Age-Based Moderate 9-10 - 10.11% 23.02% - - - 12.20% 0.19% - 11/15/22 Index Age-Based Moderate 11-12 - 8.99% 20.74% - - - 11.47% 0.20% - 11/15/22 Index Age-Based Moderate 13-14 - 8.01% 18.41% - - - 9.15% 0.19% - 11/15/22 Index Age-Based Moderate 15-16 - 7.00% 16.14% - - - 8.68% 0.19% - 11/15/22 Index Age-Based Moderate 17-18 - 5.84% 13.37% - - - 7.01% 0.19% - 11/15/22 Index Age-Based Moderate 19+ - 4.77% 10.31% - - - 6.00% 0.18% - 11/15/22 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 - 12.78% 30.07% 3.45% 9.60% 8.77% 7.44% 0.54% - 11/18/05 Fund 80 - 11.17% 26.42% 2.92% 8.29% 7.57% 6.98% 0.51% - 11/18/05 Fund 60 - 9.19% 22.13% 2.22% 6.48% 6.09% 6.00% 0.49% - 11/18/05 Fund 40 - 7.43% 17.92% 1.75% 4.98% 4.76% 4.95% 0.46% - 11/18/05 Fund 20 - 5.67% 13.09% 1.41% 3.27% 3.18% 3.55% 0.39% - 11/18/05 Fund 10 - 4.66% 10.20% 1.50% 2.53% 2.37% 2.57% 0.32% - 11/18/05 Fixed Income Fund - 3.99% 6.73% 2.14% 1.99% 1.64% 1.82% 0.23% - 11/18/05 Monthly Individual Individual 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 Bank Savings 529 Portfolio Bank Savings 529 PortfolioFootnote 3 5.03% 4.49% 5.40% - - - 3.61% 0.14% - 11/18/21 Money Market 529 Portfolio Invesco Government & Agency 529 PortfolioFootnote 4 - 4.23% 5.11% 3.35% 2.12% - 1.70% 0.30% - 7/28/16 Fixed Income 529 Portfolios Fidelity Short-Term Bond Index 529 Portfolio - 3.34% 6.67% - - - 0.71% 0.20% - 11/18/21 Baird Short-Term Bond 529 Portfolio - 4.25% 6.93% 1.78% 1.85% - 1.86% 0.47% - 11/18/14 Fidelity U.S. Bond Index 529 Portfolio - 1.86% 10.40% -2.38% -0.40% - -0.30% 0.19% - 9/26/19 PGIM Core Bond 529 Portfolio - 2.54% 11.61% -2.25% - - -1.76% 0.49% - 10/1/20 American Beacon Garcia Hamilton Quality Bond 529 Portfolio - 0.53% 11.28% -1.57% - - -1.38% 0.58% - 10/1/20 iShares 0-5 Year TIPS Bond ETF 529 Portfolio - 4.17% 6.37% - - - 1.81% 0.20% - 11/18/21 BlackRock Inflation Protected Bond 529 Portfolio - 3.09% 8.52% -1.59% 2.30% 1.93% 2.79% 0.73% - 3/30/09 BlackRock High Yield Bond 529 Portfolio - 7.68% 16.22% - - - 3.54% 0.68% - 11/18/21 Credit Suisse Floating Rate High Income 529 Portfolio - 6.66% 9.39% - - - 5.92% 0.88% - 11/18/21 AB Global Bond 529 Portfolio - 2.35% 9.81% - - - -1.41% 0.68% - 11/18/21 Payden Emerging Markets Bond 529 Portfolio - 7.56% - - - - 15.20% 0.86% - 11/15/23 Balanced 529 Portfolio T. Rowe Price Balanced 529 Portfolio - 11.54% 24.91% 3.10% 7.97% 7.35% 6.95% 0.64% - 11/18/05 Real Estate 529 Portfolios DFA Real Estate Securities 529 Portfolio - 10.37% 34.10% -0.22% 4.00% - 4.04% 0.35% - 9/26/19 Principal Global Real Estate Securities 529 Portfolio - 6.17% 28.07% -3.80% 0.20% - 2.92% 1.05% - 8/23/18 ESG/Sustainable Investing 529 Portfolio Calvert Equity 529 Portfolio - 8.21% 25.36% 3.28% 12.27% 12.86% 10.24% 0.83% - 11/18/05 U.S. Equity 529 Portfolios MFS Value 529 Portfolio - 13.81% 26.88% 5.86% 9.73% 9.11% 11.50% 0.72% - 5/31/12 T. Rowe Price Equity Income 529 Portfolio - 13.90% 28.90% 7.41% 10.27% 8.71% 7.58% 0.73% - 11/18/05 American Century Value 529 Portfolio - 10.29% 24.37% 6.89% 10.22% 8.20% 7.58% 0.97% - 11/18/05 Northern Stock Index 529 Portfolio - 20.76% 37.61% 8.85% 15.04% 12.70% 9.94% 0.19% - 11/18/05 Sit Dividend Growth 529 Portfolio - 16.69% 30.58% 7.23% 12.66% 10.77% 13.11% 0.87% - 3/30/09 American Century Growth 529 Portfolio - 18.72% 37.31% 5.90% 16.69% 14.55% 15.70% 0.89% - 3/30/09 T. Rowe Price Large-Cap Growth 529 Portfolio - 24.88% 42.33% 6.12% 16.98% 15.66% 13.71% 0.50% - 4/30/08 T. Rowe Price Extended Equity Market Index 529 Portfolio - 12.14% 37.49% -0.28% 10.12% 8.89% 8.71% 0.42% - 11/18/05 BlackRock Mid-Cap Growth Equity 529 Portfolio - 6.31% 29.76% - - - -6.71% 0.88% - 11/18/21 Ariel Fund 529 Portfolio - 14.59% 40.63% 2.20% 10.61% 8.33% 7.63% 0.84% - 11/18/05 Northern Small Cap Value 529 Portfolio - 5.65% 26.30% 4.18% 7.20% 6.64% 7.69% 0.77% - 4/30/08 Northern Small Cap Index 529 Portfolio - 9.43% 33.72% -0.32% 8.13% 7.57% 7.34% 0.27% - 11/18/05 Delaware Small Cap Core 529 Portfolio - 7.60% 30.39% 1.15% 9.11% 8.29% 9.51% 0.97% - 4/30/08 Harbor Small Cap Growth 529 Portfolio - 9.35% 34.73% -0.45% 8.04% - 8.27% 1.05% - 10/1/15 International Equity 529 Portfolios Dodge & Cox International Stock 529 Portfolio - 8.61% 22.17% 4.97% 7.27% 4.32% 5.28% 0.79% - 10/29/10 Northern International Equity Index 529 Portfolio - 6.78% 22.01% 2.52% 6.08% 4.92% 4.22% 0.27% - 11/18/05 Invesco Oppenheimer International Growth 529 Portfolio - 1.99% 22.45% -3.73% 5.58% 4.92% 4.43% 0.86% - 4/30/09 DFA International Small Company 529 Portfolio - 6.30% 22.79% -0.20% 6.11% 5.82% 6.81% 0.56% - 11/30/12 BlackRock Emerging Markets 529 Portfolio - 2.97% 15.69% - - - -6.11% 0.99% - 11/18/21 Global Infrastructure 529 Portfolio Virtus Duff & Phelps Global Infrastructure 529 Portfolio - 11.93% 26.03% - - - 6.68% 1.02% - 11/15/22 Monthly ETF ETF 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 Fixed Income ETF 529 Portfolios Vanguard Short-Term Bond Index ETF 529 Portfolio - 3.22% 6.64% 0.55% 1.04% 1.36% 1.20% 0.22% - 11/30/12 Vanguard Total Bond Market Index ETF 529 Portfolio - 1.93% 10.23% -2.35% -0.39% 1.27% 1.26% 0.21% - 11/30/12 Real Estate ETF 529 Portfolios Vanguard Real Estate Index ETF 529 Portfolio - 9.52% 34.21% -1.16% 3.64% 5.71% 7.10% 0.29% - 11/30/12 Vanguard Global ex-U.S. Real Estate Index ETF 529 Portfolio - 2.40% 20.88% -5.96% -3.25% 0.99% 1.79% 0.29% - 11/30/12 Domestic Equity ETF 529 Portfolios Vanguard Mega Cap Value Index ETF 529 Portfolio - 17.58% 30.58% 9.42% 11.45% 10.40% 12.18% 0.24% - 11/30/12 Vanguard Mega Cap Index ETF 529 Portfolio - 21.87% 38.62% 9.15% 15.81% 13.25% 14.49% 0.24% - 11/30/12 Vanguard Mega Cap Growth Index ETF 529 Portfolio - 23.49% 42.88% 8.35% 19.15% 15.67% 16.55% 0.24% - 11/30/12 Vanguard Mid-Cap Value Index ETF 529 Portfolio - 16.05% 34.36% 6.65% 10.30% 8.87% 11.32% 0.24% - 11/30/12 Vanguard Mid-Cap Index ETF 529 Portfolio - 14.06% 34.27% 2.76% 10.72% 9.58% 11.53% 0.21% - 11/30/12 Vanguard Mid-Cap Growth Index ETF 529 Portfolio - 11.46% 33.83% -1.20% 10.64% 9.99% 11.92% 0.24% - 11/30/12 Vanguard Small-Cap Value Index ETF 529 Portfolio - 11.96% 33.50% 6.05% 10.81% 8.71% 11.03% 0.24% - 11/30/12 Vanguard Small-Cap Index ETF 529 Portfolio - 11.41% 34.04% 2.29% 10.00% 8.87% 10.69% 0.22% - 11/30/12 Vanguard Small-Cap Growth Index ETF 529 Portfolio - 10.64% 34.60% -2.95% 8.03% 8.50% 10.43% 0.24% - 11/30/12 International Equity ETF 529 Portfolios Vanguard FTSE Developed Markets Index ETF 529 Portfolio - 6.36% 22.00% 1.68% 6.23% 5.16% 6.02% 0.22% - 11/30/12 Vanguard FTSE Emerging Markets Stock Index ETF 529 Portfolio - 14.05% 26.00% 0.13% 4.97% 3.49% 3.42% 0.27% - 11/30/12 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.
Looking for something specific?
Open an Account with Your Financial Advisor
Get Started