DATA AS OF 04/30/2017
DATA AS OF 04/30/2017
The fund seeks the highest total return (that is, a combination of income and long-term capital appreciation) over time consistent with its asset mix. The fund will seek to reduce volatility as a secondary objective from the five years before until five years after the fund's target retirement date of 2025 (the "Dynamic Rebalancing Period").
|Net Assets||$87.95 Million (All Share Classes)|
|Sub-Adviser||QS Investors, LLC|
|Primary Benchmark||Dow Jones Global Target 2025 Index|
|Morningstar Category||Target-Date 2025|
|Lipper Category||Mixed-Asset Target 2025|
|Inception Dates|| Class R1 - 03/02/2015
Class R6 - 03/02/2015
|Number of Holdings||10|
|Portfolio Turnover||3% (10/31/2016)|
|30-Day SEC Yield|| Class R1 - 1.05%
Class R6 - 1.68%
|12-Month Distribution Yield|| Class R1 - 1.04%
Class R6 - 1.44%
Adam J. Petryk CFA
ClearTrackSM Target Date Funds offer one-step retirement options that make it easy to achieve the right investment balance as investors journey both to and through retirement.
Formed in 1999 within a large asset management firm, QS Investors, LLC is a New York-based investment firm providing asset management and advisory services to a diverse array of institutional clients.
QS Investors delivers disciplined and systematic solutions that address clients’ complex investment challenges. The team has developed approaches to integrating quantitative and behavioral investment insights and dynamically weighting opportunities in response to changing conditions in the economy and the market. QS Investors offers a broad spectrum of strategies which includes actively managed US and Global equities, Liquid Alternatives, and Customized Solutions.
QS Investors is a wholly-owned affiliate of Legg Mason, Inc.
|Dow Jones Global Target 2025 Index|
|Fund Name||% of Holdings|
|Vanguard FTSE Developed Markets ETF||23.34%|
|Schwab U.S. Large-Cap ETF||22.19%|
|iShares Core U.S. Aggregate Bond ETF||19.88%|
|Vanguard Total International Bond ETF||14.12%|
|iShares TIPS Bond ETF||4.97%|
|Schwab U.S. REIT ETF||4.66%|
|Schwab U.S. Small-Cap ETF||4.65%|
|Vanguard FTSE Emerging Markets ETF||4.37%|
|SPDR Bloomberg Barclays High Yield Bond ETF||0.85%|
|iShares JP Morgan USD Emerging Markets Bond ETF||0.00%|
|Percentage of total portfolio||99.03%|
|Weighted Average Market Cap||$52.88 Billion|
|Median Market Cap||$52.88 Billion|
|U.S. Equity Funds||31.50%|
|International Equity Funds||27.71%|
|U.S. Fixed Income Funds||25.70%|
|International Fixed Income Funds||14.12%|
|Net Other Assets (Liabilities)||0.97%|