The investment seeks long-term total return.
Under normal conditions, the fund invests primarily in a broadly diversified portfolio consisting of open-end and/or closed-end investment companies, including mutual funds and exchange-traded funds ("ETFs"), referred to collectively as "Underlying Funds." It may invest in a broad range of Underlying Funds among various investment categories, including those that invest in domestic and foreign equity securities of various sized companies.
Fund Manager:
David C. Wright
, since 12/18/07
Fund Inception:
12/18/07
Fund Ratings & Risk:
View Ratings & Risk
Composition:
STOCK (0.38%),
BONDS (88.9%),
CASH (6.51%),
OTHER (4.22%)