Overview
Inception Date: | November 1, 2007 |
Assets: | $454.6 million* |
Short-term Risk: | Varies based on Step |
Long-term Risk: | Varies based on Step |
Expense Ratio: | 0.78% - 1.18%* |
* Reported as of June 30, 2024
Who is this fund for?
This fund may be appropriate for Plan members who prefer a hands-off approach to investing. This fund will automatically move you to a more conservative asset mix as you age.
Unit Values
View the last 30 days of unit value history
Calendar Year-end Fund Performance Bulletin
Fiscal Year-end Fund Performance Bulletin