Fee Structure: A B C F
Target Portfolios
As of October 31, 2025
APY (%)YTD Returns
at NAV (%)1
Average Annual Total Returns at NAV (%)1Inception
Date
Max Sales
Charge
Expense
Ratio (%)2
1 Yr3 Yrs5 YrsLifetime
Target Fund 100n/a17.6917.4217.7812.619.698/2/10--1.22
Target Fund 80n/a15.2015.0815.5010.578.378/2/10--1.20
Target Fund 60n/a12.8612.7713.128.276.858/2/10--1.21
Target Fund 40n/a10.1210.2310.576.115.408/2/10--1.20
Target Fund 20n/a7.287.617.854.043.698/2/10--1.17
Target Fixed Income Fundn/a3.994.444.552.051.208/2/10--1.05