NAV as of May 28, 2024
$18.25
52 WK: 15.36 - 18.41
1 Day NAV Change as of May 28, 2024
-0.04
(-0.22%)
NAV Total Return as of May 24, 2024
YTD:
4.99%
SILVER
Overview
About this Fund
1. Designed to take the appropriate level of risk
2. Invested in a diversified mix of cost-effective, indexed building blocks
3. Built using 25+ years of target date fund experience
Investment Approach
Fund invests in a global mix of broad, diversified asset classes. The allocations gradually de-risk along the glidepath, becoming more conservative as investors approach retirement. The Fund seeks to provide cost-effective, efficient implementation by investing in index-based building blocks, offering transparent and low-cost access to the LifePath glidepath and asset allocation.