Mutual Funds


Performance at NAV does not reflect sales charges. If included, sales charges would reduce the performance quoted. Performance at POP reflects sales charges.

Historical Prices and Distributions


Asset allocation

 As of 5/22/17
Symbol Fund Name NAV ($) POP ($) NAV Chg ($) NAV Chg (%)
JIAFXIncome Allocation9.8310.24 0.01 0.10
JLAAXMultimanager 2010 Lifetime9.349.83 0.02 0.21
JLBAXMultimanager 2015 Lifetime9.8910.41 0.01 0.10
JLDAXMultimanager 2020 Lifetime10.6511.21 0.03 0.28
JLEAXMultimanager 2025 Lifetime11.2911.88 0.04 0.36
JLFAXMultimanager 2030 Lifetime11.5412.15 0.04 0.35
JLHAXMultimanager 2035 Lifetime11.8712.49 0.05 0.42
JLIAXMultimanager 2040 Lifetime11.8512.47 0.05 0.42
JLJAXMultimanager 2045 Lifetime11.7412.36 0.05 0.43
JLKAXMultimanager 2050 Lifetime12.2712.92 0.05 0.41
JLKLXMultimanager 2055 Lifetime11.1811.77 0.05 0.45
JJERXMultimanager 2060 Lifetime11.6912.31 0.05 0.43
JALAXMultimanager Lifestyle Aggress16.2317.08 0.08 0.50
JALBXMultimanager Lifestyle Balance15.3016.11 0.05 0.33
JALRXMultimanager Lifestyle Conserv13.0513.74 0.01 0.08
JALGXMultimanager Lifestyle Growth16.0516.89 0.06 0.38
JALMXMultimanager Lifestyle Moderat13.9714.71 0.02 0.14
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