Retirement Shares

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

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Historical Prices and Distributions


Domestic Equity Funds

 As of 9/7/10
Symbol Fund NameNAV ($) NAV Chg ($) NAV Chg (%)
JBAOXBalanced14.24           0.07 0.49
JCVRXClassic Value14.24           0.27 1.86
JDVOXDisciplined Value11.12           0.18 1.59
JLCRXLarge Cap Equity23.43           0.26 1.10
RGRWXRainier Growth17.15           0.15 0.87
JCSOXSmall Company16.59           0.30 1.78
GOTRXU.S. Core16.58           0.13 0.78

International/Global Funds and Portfolios

 As of 9/7/10
Symbol Fund NameNAV ($) NAV Chg ($) NAV Chg (%)
GOCRXInternational Core25.71           0.35 1.34

Income Funds

 As of 9/7/10
Symbol Fund NameNAV ($) NAV Chg ($) NAV Chg (%)
JSTRXStrategic Income6.50           0.00 0.00

Lifestyle Portfolios

 As of 9/7/10
Symbol Fund NameNAV ($) NAV Chg ($) NAV Chg (%)
JPLAXLifestyle Aggressive10.68           0.14 1.29
JPLBXLifestyle Balanced11.98           0.08 0.66
JPLCXLifestyle Conservative12.68           0.01 0.08
JPLGXLifestyle Growth11.62           0.11 0.94
JPLMXLifestyle Moderate12.13           0.04 0.33

Lifecycle Portfolios

 As of 9/7/10
Symbol Fund NameNAV ($) NAV Chg ($) NAV Chg (%)
JLADXLifecycle 20109.15           0.04 0.44
JLBDXLifecycle 20158.86           0.06 0.67
JLDDXLifecycle 20208.76           0.07 0.79
JLEDXLifecycle 20258.53           0.09 1.04
JLFDXLifecycle 20308.41           0.09 1.06
JLHDXLifecycle 20358.45           0.10 1.17
JLIDXLifecycle 20408.42           0.10 1.17
JLJDXLifecycle 20458.41           0.10 1.18
Version 9.0.58.0