Age-Based Growth (9 to 10 years old)

  Domestic Equity - 39.0%
  18.0%  State Street S&P 500® Index (N/A)
  8.0%  Vanguard Equity Income (VEIRX)
  8.0%  T. Rowe Price Large Cap Growth (TRLGX)
  1.0%  Vanguard Extended Market Index (VEMPX)
  2.0%  Tributary Small Company (FOSBX)
  2.0%  iShares Russell 2000 Growth (IWO)
  US Real Estate - 3.5%
  3.5%  Vanguard REIT Index (VGSNX)
  International Equity - 12.5%
  12.5%  State Street MSCI® ACWI ex USA Index (N/A)
  International Bond - 3.5%
  3.5%  DFA World ex-US Government Fixed Income (DWFIX)
  Fixed Income - 33.0%
  9.5%  MetWest Total Return Bond (MWTSX)
  14.0%  Vanguard Total Bond Market Index (VBMPX)
  9.5%  Vanguard Short-Term Bond Index (VBIPX)
  Cash Equivalents - 8.5%
  3.0%  Bank Savings (N/A)
  5.5%  Goldman Sachs Financial SquareSM Government Money Market1 (FGTXX)

Portfolio Description: The Age-Based Growth Investment Option seeks to provide capital appreciation and some current income. This strategy is based on accepting the risks associated with stocks, which have the potential to provide high returns, and seeking to balance the effects of volatility through diversification in fixed-income funds.

Objectives: For Beneficiaries nine to 10 years old, this Portfolio seeks to provide growth of capital and some current income by investing 51.5% of its assets in diversified investments of domestic and international equity funds, 3.5% real estate funds, 36.5% domestic and international fixed income funds 5.5% money market funds, and 3% FDIC-insured savings account.

Strategies: The Portfolio invests in funds according to a fixed formula that typically results in an allocation of 39% domestic equity funds, 3.5% real estate funds, 12.5% international equity funds, 3.5% international bond funds, 33% fixed income funds, 5.5% in money market funds, and 3% FDIC-insured savings account. The Portfolio manages cash flows to maintain the stated asset allocation. The stock holdings in the underlying investments consist primarily of large-cap U.S. stocks and to a lesser extent, mid- and small-cap U.S. stocks and foreign stocks.

Prices and Performance: Click here to review.

Expense Ratio: The estimated overall expense ratio for this Portfolio is:

Underlying Estimated Fund Expenses:1 0.16%
Program Management Fee: 0.25%
State Administrative Fee: 0.02%
TOTAL: 0.43%

1 As of May 31, 2018.

Historical prices: Search for historical price information