Monthly Performance

Year-to-Date NAV and POP returns and yield are as of November 28, 2008.
All other returns are as of November 30, 2008.

Year-to-date returns are cumulative. All other performance is an average annual total return except for portfolios that are less than one year old, in which case the inception-to-date returns are cumulative.

Class A shares are subject to a maximum initial sales charge of 5.25%. Class B shares are subject to a contingent deferred sales charge (decreasing over 6 years).

Static Portfolios

» Disclosure
  NAV as of November 28, 2008 POP as of November 28, 2008    
Portfolio Name Price YTD 1YR 3YR 5YR ITD Price YTD 1YR 3YR 5YR ITD Exp.
Ratio
Inception
Future Trends Portfolio :A 1 9.70 -41.60 -42.12 -11.55 -3.56 -3.36 10.05 -43.65 -44.15 -12.60 -4.25 -3.83 1.56 07/02/01
Future Trends Portfolio :A 2
Effective 06/03/02
9.70 -41.60 -42.12 -11.55 -3.56 -3.36 9.70 -44.67 -45.16 -13.13 -4.60 -4.06 1.56 07/02/01
Equity Portfolio :A 1 10.52 -41.72 -42.32 -10.10 -1.99 -2.30 10.90 -43.76 -44.34 -11.16 -2.68 -2.77 1.44 07/02/01
Equity Portfolio :A 2
Effective 06/03/02
10.52 -41.72 -42.32 -10.10 -1.99 -2.30 10.52 -44.78 -45.35 -11.70 -3.04 -3.01 1.44 07/02/01
Fixed Income Portfolio :A 1 17.02 -7.60 -7.50 1.56 2.63 4.25 17.64 -10.83 -10.74 0.36 1.90 3.75 1.34 07/02/01
Fixed Income Portfolio :A 2
Effective 06/03/02
17.02 -7.60 -7.50 1.56 2.63 4.25 17.02 -12.45 -12.36 -0.25 1.53 3.50 1.34 07/02/01
Short-Term Bond Portfolio :A 1 15.19 -0.85 -0.78 2.54 1.89 2.66 15.74 -4.32 -4.26 1.33 1.17 2.17 1.20 07/02/01
Short-Term Bond Portfolio :A 2
Effective 06/03/02
15.19 -0.85 -0.78 2.54 1.89 2.66 15.19 -6.05 -5.99 0.71 0.80 1.92 1.20 07/02/01