Multi-Firm Age-Based and Target Portfolios
As of August 31, 2023
APY (%)Since Inception (%)Average Annual Total Returns (%)Expense
Ratio (%)1
1 Yr3 Yrs5 Yrs10 YrsLifetime
Age-Based Aggressive
Ages 0-2n/a8.0012.898.366.98n/a8.000.4007/17/17
Ages 3-5n/a7.6311.827.526.68n/a7.630.3907/17/17
Ages 6-8n/a7.1110.686.496.29n/a7.110.3907/17/17
Ages 9-10n/a6.399.515.565.74n/a6.390.3907/17/17
Ages 11-12n/a5.828.354.565.28n/a5.820.3807/17/17
Ages 13-14n/a5.337.253.734.89n/a5.330.3807/17/17
Ages 15-16n/a4.556.142.844.23n/a4.550.3607/17/17
Ages 17-18n/a3.814.921.903.60n/a3.810.3407/17/17
Ages 19+n/a3.163.951.163.05n/a3.160.3107/17/17
Age-Based Moderate
Ages 0-2n/a7.6311.827.526.68n/a7.630.3907/17/17
Ages 3-5n/a7.1110.686.496.29n/a7.110.3907/17/17
Ages 6-8n/a6.399.515.565.74n/a6.390.3907/17/17
Ages 9-10n/a5.828.354.565.28n/a5.820.3807/17/17
Ages 11-12n/a5.337.253.734.89n/a5.330.3807/17/17
Ages 13-14n/a4.556.142.844.23n/a4.550.3607/17/17
Ages 15-16n/a3.814.921.903.60n/a3.810.3407/17/17
Ages 17-18n/a3.163.951.163.05n/a3.160.3107/17/17
Ages 19+n/a2.312.950.562.31n/a2.310.2507/17/17
Age-Based Conservative
Ages 0-2n/a7.1110.686.496.29n/a7.110.3907/17/17
Ages 3-5n/a6.399.515.565.74n/a6.390.3907/17/17
Ages 6-8n/a5.828.354.565.28n/a5.820.3807/17/17
Ages 9-10n/a5.337.253.734.89n/a5.330.3807/17/17
Ages 11-12n/a4.556.142.844.23n/a4.550.3607/17/17
Ages 13-14n/a3.814.921.903.60n/a3.810.3407/17/17
Ages 15-16n/a3.163.951.163.05n/a3.160.3107/17/17
Ages 17-18n/a2.312.950.562.31n/a2.310.2507/17/17
Ages 19+n/a1.492.620.371.61n/a1.490.1707/17/17
Balanced Portfolion/a5.828.354.565.28n/a5.820.3807/17/17
Fixed Income Portfolion/a1.492.620.371.61n/a1.490.1707/17/17
Equity Portfolio n/a8.0012.898.366.98n/a8.000.4007/17/17

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 fund expenses, the 0.075% program management fee, and the 0.025% state fee (0.00% state fee on index portfolios).

1Expense ratio information is the total annual underlying fund expenses for the investment funds that make up each Portfolio. Expense ratios are as of the most recent Program Disclosure Statement dated November 15, 2022 and also include the 0.075% program management fee and the 0.025% state fee (0.00% state fee on index portfolios).back

2The underlying omnibus bank accounts annual percentage yield is 5.53% as of August 1, 2023. This rate is variable and subject to change at any time. There is no minimum balance required to obtain this rate. Interest earnings realized by participants will be reduced by the program management fee and state administrative fee.back

*You could lose money by investing in this investment option. Although the money market fund in which your investment option invests (the “underlying fund”) seeks to preserve its value at $1.00 per share, the underlying fund cannot guarantee it will do so. An investment in this investment option is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The underlying fund’s sponsor has no legal obligation to provide financial support to the underlying fund, and you should not expect that the sponsor will provide financial support to the underlying fund at any time.back

For more information about the risks associated with each Portfolio and underlying investments, read the Program Disclosure Statement and the fund prospectus. The Portfolios’ risks are directly related to the risks of the underlying funds.