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IRCAX Voya Retirement Conservative Port A

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Fund IRCAX Voya Retirement Conservative Port A MSCBX Manning & Napier Strategic Inc Cnsrv S  
100% 91%
Annual Fees
(0.91% Exp. Ratio)
(0.88% Exp. Ratio)
Future Est. Balance in 30 yrs
Assuming 2.49% annual return
$15,899.29 $16,044.34
Est. savings over 30 yrs +$145.04
As of 12/31/16
1 YR RETURN 4.68%
3 YR 3.21%
5 YR 4.37%
10 YR --
1 YR RETURN 6.12%
3 YR 4.13%
5 YR --
10 YR --
The investment seeks a high level of total return (consisting of capital appreciation and income) consistent with a conservative level of risk relative to the other Voya Retirement Portfolios. The Portfolio invests in a combination of underlying funds according to a model that is intended to reflect an allocation of approximately 30% of the Portfolio's assets in equity securities and 70% of the Portfolio's assets in fixed-income securities. The actual amount of Portfolio assets invested in equity securities may vary at any time and may range from 15% to 45% of its assets in equity securities and from 55% to 85% of its assets in fixed-income securities.
The investment seeks to manage against capital risk and generate income with a secondary goal of pursuing long-term capital growth. The fund is designed to generate income, pursue capital growth in order to provide purchasing power protection, and to manage risk. It may invest in a combination of the Core Bond Series, Disciplined Value Series, Equity Income Series, Global Fixed Income Series, High Yield Bond Series, Real Estate Series, and Unconstrained Bond Series, as well as other Series of the fund.

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The fees, balance and savings information above are estimated numbers, based on the data FeeX had at the day of publication, but may not be accurate due to incomplete or erroneous data.

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FeeX's similarity algorithm analyzes over 15 investment characteristics like investment category, asset allocation, strategy, geographical allocation and more. FeeX gives each its own weight and calculates the similarity of any two investments based on a scale of 0 to 100%. Funds with a similarity ranking of 85% and higher are considered "similar".

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