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LifeModel Aggressive Fund

The fund seeks long-term capital appreciation by investing in a diversified group of Fifth Third Funds. The fund is an aggressive allocation fund, and its diversification strategy will have a heavy emphasis on stock funds.

Share ClassTickerCUSIPInception
Class ALASAX31678P8038/1/2002
Class BLASBX31678P8788/1/2002
Class CLASCX31678P8868/1/2002
InstitutionalLASIX31678P6058/1/2002

Investment Approach

Typically, 90% of the fund is invested in stock funds. We buy shares of the underlying portfolios based on -

  • Our specific asset allocation targets
  • Prevailing market conditions
  • Analysis and assessment by the portfolio management team

Sell Discipline

We assess economic and market conditions, and monitor the recent performance of the fund and its underlying portfolios. We consider selling shares in an underlying porfolio when -

  • An underling portfolio's weighting has grown larger than its allocation target
  • Our analysis of the financial markets indicates that another underlying portfolio could better serve the fund's investment objective

Portfolio Characteristics

As of 03.31.12

Total Net Assets$101,746,972
**Portfolio Turnover Rate18%
Beta1.11
*Alpha-2.26%
*Sharpe-0.04
*R299.02%
*Standard Deviation22.69%

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