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LifeModel Moderately Conservative Fund

The fund seeks income and capital appreciation by investing primarily in a diversified group of Fifth Third Funds. The fund is a moderately conservative allocation fund, and its diversification strategy will have an emphasis on bond funds.

Share ClassTickerCUSIPInception
Class ALAMVX31678R2218/1/2002
Class BLBMVX31678R2138/1/2002
Class CLCMVX31678R1978/1/2002
InstitutionalLIMVX31678R2478/1/2002

Allocations

As of 03.31.12

LifeModel Moderately Conservative Fund - Current Style Class Allocations (LifeModel Allocations)}

Portfolio Composition (%)

As of 03.31.12

LifeModel Moderately Conservative Fund - Portfolio Composition}

Portfolio composition is subject to change. May not total 100% due to rounding or pending transactions.

Ranges & Targets

As of 03.31.12

Type / FundRanges (%)Target Neutral (%)

Stock Funds

Structured Large Cap Plus 0 - 256.00
Disciplined Large Cap Value0 - 257.00
Quality Growth0 - 257.00
All Cap Value0 - 254.00
Mid Cap Growth0 - 254.00
International Equity0 - 108.00
Small Cap Growth0 - 252.00
Small Cap Value0 - 252.00

Bond Funds

Short Term Bond0 - 5015.00
Total Return Bond0 - 5037.00
High Yield Bond0 - 203.00

Specialty Funds

Strategic Income0 - 205.00

Money Market Funds

Institutional Money Market0 - 20N/A
U.S. Treasury Money Market0 - 20N/A

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