Related Funds
Morningstar Aggressive Growth ETF Asset Allocation Portfolio
Morningstar Balanced ETF Asset Allocation Portfolio
Morningstar Conservative ETF Asset Allocation Portfolio
Morningstar Income and Growth ETF Asset Allocation Portfolio
Class I
Fund Stats as of 11/17/2017
Symbol N/A
ISIN US3176136022
Inception Date 04/30/2007
Dividends Paid Annually
CUSIP 00162T 886
Fund Type Insurance Portfolio
NAV $12.63
NAV Change $-0.01
Expenses as of 04/30/2017
Total Expense Ratio0.66%
What You Pay*0.66%
Class II
Fund Stats as of 11/17/2017
Symbol GETFX
ISIN US3176138671
Inception Date 04/30/2007
Dividends Paid Annually
CUSIP 00162T 878
Fund Type Insurance Portfolio
NAV $12.42
NAV Change $-0.01
Expenses as of 04/30/2017
Total Expense Ratio0.91%
What You Pay*0.91%
Fund Resources
Quarterly Fact Sheet - Class I 
Quarterly Fact Sheet - Class II 
Statement of Additional Information 
Statutory Prospectus 
Summary Prospectus 
Resource Library  
*Important Considerations  
Investors should consider investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other important information. Please click the link above for the prospectus. Please read the prospectus carefully before investing. For additional information on the above listed funds, please click the respective link.
Insurance Products Shares of the Portfolios are offered only to participating insurance companies and their separate accounts to fund the benefits of Variable Contracts, and to qualified pension and retirement plans and registered and unregistered separate accounts.