ASSET CLASS

FUND MANAGER

SHARE CLASS

VIEW TABLE
COMPAREFUNDMORNINGSTAR CATEGORY
As of 9/1/2015
As of 6/30/2015
30 DAY SEC YIELD
As of 6/30/2015
EXPENSE RATIO
MY FUNDS LISTFACT SHEET
YTD1 YR5 YR10 YRSINCE
INCEPTION
WITH WAIVERSWITHOUT WAIVERSGROSSNET
Featured Funds
Diversified Emerging Mkts-9.14%N/AN/AN/A5.70%N/AN/A1.94%1.33%
World Stock-0.84%-5.70%N/AN/A10.04%2.74%1.68%1.83%0.76%
Foreign Large Blend-1.73%-4.08%10.02%N/A-0.15%N/AN/A1.12%1.12%
Large Growth-4.18%7.10%18.05%7.96%10.51%N/AN/A0.89%0.89%
Large Value-1.68%4.19%16.70%N/A6.69%N/AN/A0.91%0.91%
World Allocation-9.00%
(Inception
to Date)
N/AN/AN/A-3.10%N/AN/A1.43%1.13%
Pacific/Asia ex-Japan Stk-12.94%9.74%N/AN/A3.74%N/AN/A2.44%1.49%
Multialternative-4.56%2.12%N/AN/A0.23%N/AN/A1.51%1.50%
Diversified Emerging Mkts-13.52%-2.76%N/AN/A-2.06%N/AN/A1.77%1.27%
Large Growth3.72%17.67%16.32%9.33%10.88%N/AN/A0.77%0.77%
Large Growth-0.84%13.73%15.70%7.86%12.48%N/AN/A0.76%0.76%
World Allocation-3.27%-1.13%7.43%N/A6.52%N/AN/A1.08%1.08%
World Allocation-5.07%-0.27%9.75%N/A6.73%N/AN/A1.09%1.09%
World Allocation-4.33%-0.80%8.55%N/A6.74%N/AN/A1.09%1.09%
World Stock-4.29%6.15%13.90%9.54%9.50%N/AN/A0.85%0.79%
World Stock-6.32%6.07%9.60%7.58%2.78%N/AN/A0.93%0.93%
Technology-4.81%7.31%16.82%10.93%6.80%N/AN/A0.95%0.95%
N/A0.00%0.00%0.00%1.25%2.47%N/AN/A0.70%0.70%
Large Blend-7.90%4.28%15.07%6.63%10.48%2.19%2.19%0.88%0.88%
High Yield Bond2.23%-1.38%8.02%7.09%7.72%5.44%5.44%0.87%0.87%
Foreign Large Growth-6.12%-4.07%8.65%N/A4.78%N/AN/A1.00%1.00%
N/A0.00%0.00%0.00%1.31%2.55%N/AN/A0.68%0.68%
Multisector Bond2.61%2.11%N/AN/A3.72%3.71%2.44%1.94%0.96%
Foreign Large Blend-11.43%-12.88%-0.94%6.59%8.85%N/AN/A0.68%0.68%
World Stock-5.59%1.12%N/AN/A7.72%N/AN/A3.01%1.94%
Large Growth-1.08%10.82%N/AN/A2.94%N/AN/A1.81%1.75%
Multisector Bond1.89%0.18%N/AN/A1.24%3.01%1.62%2.16%0.73%
Small Growth-1.83%14.61%20.12%13.85%13.53%N/AN/A0.93%0.93%
Large Growth-5.54%7.76%14.81%9.49%11.99%N/AN/A0.81%0.81%
Small Growth-3.40%15.29%20.82%10.96%12.60%N/AN/A0.93%0.93%
Foreign Large Value-0.29%-4.52%N/AN/A7.25%N/AN/A2.29%1.23%
Large Value-7.73%2.20%13.38%N/A12.67%N/AN/A0.89%0.85%
Mid-Cap Value-6.63%0.26%11.65%7.71%11.84%N/AN/A0.74%0.74%
Mid-Cap Value-2.86%3.39%N/AN/A12.99%N/AN/A1.16%0.90%
Small Value-4.26%4.85%12.17%8.79%N/AN/AN/A0.83%0.83%
Moderate Allocation-4.40%2.18%N/AN/A9.51%1.98%1.60%1.25%0.93%

Returns quoted are past performance and do not guarantee future results; current performance may be lower or higher. Investment returns and principal value will vary; there may be a gain or loss when shares are sold.

Click a fund name for additional important information including objectives, risks, performance history and expense detail.