Target Date 2026-2030 Category

Target date portfolios provide a diversified exposure to stocks, bonds, and cash for those investors who have a specific date in mind (in this case, the years 2026-2030) for retirement or another goal. These portfolios aim to provide investors with an optimal level of return and risk, based solely on the target date. Over time, management adjusts the allocation among asset classes to more conservative mixes as the target date approaches.

Abbreviation: TH

Broad Asset Class: Balanced

Primary Index: Morningstar Moderate Target Risk

Secondary Index: Morningstar Lifetime Moderate 2030