Daily Performance

The performance and prices for each portfolio are shown below. Net Asset Value (NAV) is the value of one share of the portfolio excluding sales charges. Public Offering Price (POP) is the price of one share of the portfolio including sales charges. Performance does not reflect the annual account maintenance fee of $25.

Year-to-Date NAV and POP returns and yield are as of December 03, 2008.

Enrollment-Based Portfolios

» Disclosure
  NAV as of December 03, 2008 POP as of December 03, 2008  
Portfolio Name Price Change YTD Price Change YTD Inception
Portfolio 2025-2028:A 2 5.80 0.12 -42.97 6.12 0.13 -45.96 04/30/07
Portfolio 2021-2024:A 2 10.71 0.22 -42.73 11.30 0.23 -45.73 04/30/03
Portfolio 2017-2020:A 1 11.16 0.19 -36.91 11.56 0.20 -39.12 07/02/01
Portfolio 2017-2020:A 2
Effective 06/03/02
11.16 0.19 -36.91 11.78 0.20 -40.23 07/02/01
Portfolio 2013-2016:A 1 12.23 0.16 -29.47 12.67 0.17 -31.94 07/02/01
Portfolio 2013-2016:A 2
Effective 06/03/02
12.23 0.16 -29.47 12.91 0.17 -33.17 07/02/01
Portfolio 2009-2012:A 1 13.67 0.12 -19.87 14.17 0.12 -22.68 07/02/01
Portfolio 2009-2012:A 2
Effective 06/03/02
13.67 0.12 -19.87 14.43 0.13 -24.08 07/02/01
College Portfolio:A 1 14.33 0.08 -12.62 14.85 0.08 -15.68 07/02/01
College Portfolio:A 2
Effective 06/03/02
14.33 0.08 -12.62 15.12 0.08 -17.21 07/02/01

Static Portfolios

» Disclosure
  NAV as of December 03, 2008 POP as of December 03, 2008  
Portfolio Name Price Change YTD Price Change YTD Inception
Future Trends Portfolio:A 1 9.44 0.31 -43.17 9.78 0.32 -45.16 07/02/01
Future Trends Portfolio:A 2
Effective 06/03/02
9.44 0.31 -43.17 9.96 0.33 -46.15 07/02/01
Equity Portfolio:A 1 10.22 0.22 -43.38 10.59 0.23 -45.36 07/02/01
Equity Portfolio:A 2
Effective 06/03/02
10.22 0.22 -43.38 10.79 0.23 -46.35 07/02/01
Fixed Income Portfolio:A 1 16.96 0.04 -7.93 17.58 0.04 -11.15 07/02/01
Fixed Income Portfolio:A 2
Effective 06/03/02
16.96 0.04 -7.93 17.90 0.04 -12.76 07/02/01
Short-Term Bond Portfolio:A 1 15.24 0.01 -0.52 15.79 0.01 -4.00 07/02/01
Short-Term Bond Portfolio:A 2
Effective 06/03/02
15.24 0.01 -0.52 16.08 0.01 -5.74 07/02/01

Money Market Portfolio

» Disclosure
  NAV as of December 03, 2008 Total Return  
Portfolio Name Price Change YTD 7 Day
Simple
Yield
7 Day
Compound
Yield
Inception
JH Money Market Portfolio:X 3 1.00 0.00 2.05 1.24 1.25 09/30/04

Lifestyle Portfolios

» Disclosure
  NAV as of December 03, 2008 POP as of December 03, 2008  
Portfolio Name Price Change YTD Price Change YTD Inception
Lifestyle Growth 529 Portfolio:A 2 6.96 0.11 -40.56 7.35 0.12 -43.68 06/30/06
Lifestyle Balanced 529 Portfolio:A 2 7.46 0.09 -35.30 7.87 0.09 -38.70 06/30/06
Lifestyle Moderate 529 Portfolio:A 2 8.16 0.06 -27.72 8.61 0.06 -31.52 06/30/06

Individual Portfolios

» Disclosure
  NAV as of December 03, 2008 POP as of December 03, 2008  
Portfolio Name Price Change YTD Price Change YTD Inception
T. Rowe Price New Horizons 529 Portfolio:A 2 7.84 0.17 -45.02 8.27 0.18 -47.91 09/30/04
T. Rowe Price Small-Cap Stock 529 Portfolio:A 2 10.78 0.27 -39.68 11.38 0.28 -42.84 04/30/03
T. Rowe Price Blue Chip Growth 529 Portfolio:A 2 10.45 0.32 -45.91 11.03 0.34 -48.75 09/30/02
T. Rowe Price Mid-Cap Value 529 Portfolio:A 2 14.03 0.31 -38.60 14.81 0.33 -41.82 09/30/02
American Mutual 529 Portfolio:A 2 10.81 0.20 -33.11 11.41 0.21 -36.62 04/30/03
T. Rowe Price Equity Income 529 Portfolio:A 2 10.78