PERAPlus 401(k) Plan

Fund Performance


The table below provides performance information for the funds that are available in the Plan. These returns are updated monthly. This performance information is provided as of 9/30/2020
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Funds you are invested in. Balances are as of prior business day
of 17 Funds
The rates of return presented in this statement are shown net of investment manager fees. These funds commenced as of October 1, 2011. As of October 1, 2011, performance is calculated using Net Asset Values (NAV). Actual historic performance prior to October 1, 2011, does not exist. The simulated performance presented on this page, through September 30, 2011, is intended to provide you with an indication of how the funds may have performed in the past. The simulated performance is based on the composite performance of institutional accounts managed by the managers with investment strategies similar to those expected to be implemented by the managers in the funds or on the actual historical returns of the mutual fund utilized by the fund. To produce the simulated returns, the managers’ composite returns were combined in accordance with the target asset allocation and rebalanced quarterly. Past performance, whether actual or simulated, does not guarantee future results.

Quarterly Fund Performance Returns

The Crediting Rate for the PERAdvantage Capital Preservation Fund (after investment and administrative fees) from October 1, 2020 through December 31, 2020 will be 2.06%.