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SSgA Life Solutions Income & Growth Fund (SSLIX)
Share Classes:
Fund Objective  
The Fund seeks income and, secondarily, long-term growth of capital by diversifying its assets in shares of the underlying funds.
  Net Asset Value
  As of 07/03/2008
  Price $11.02  
  Price Change $0.02  
  Percent Change 0.18%  
  Shares Outstanding 1,153,863  
  Total Net Assets $12,711,141.63  
  Performance  
Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted.
Month End Performance
Total Return * Fund Index
  As of 05/31/2008 As of 05/31/2008
3 Months 1.43%   2.19%  
YTD -1.04%   -0.36%  
Annualized    
1 Year -7.27%   1.75%  
3 Year 2.64%   6.35%  
5 Year 4.54%   7.05%  
10 Year 3.96%   5.83%  
Quarter End Performance
Total Return Fund Index
  As of 03/31/2008 As of 03/31/2008
3 Months -3.13%   -2.54%  
YTD -3.13%   -2.54%  
Annualized    
1 Year -6.64%   2.38%  
3 Year 2.38%   6.24%  
5 Year 5.93%   8.13%  
10 Year 3.72%   5.64%  
Fund Inception Date: 07/01/1997
Top Holdings  
As of 05/31/2008
Security Name Fund
Weight
SPDR SER TR LEHMAN AGGREGATE BD ETF 48.45%
SSGA FDS SSGA CORE EDGE EQUITY FUND 12.41%
SSGA FDS BD MKT FD 9.50%
SSGA FDS LARGE CAP GROWTH OPPTYS FD 7.11%
SSGA FDS LARGE CAP VALUE FD 6.05%
SSGA FDS MONEY MKT FD 4.96%
SSGA FDS INTL STK SELECTION FD 3.76%
SSGA FDS S + P 500 INDEX FD 3.49%
SSGA CORE OPPORTUNITIES FUND GROWTH + INCOME FD 3.01%
SSGA FDS INTL GROWTH OPPTYS FD 1.25%
  Fund Composition
  As of 06/30/2008
  Fund Information
  As of 07/03/2008
  Ticker Symbol SSLIX  
  CUSIP 784924722  
  Marginable Not Applicable  
  Short Selling Allowed Not Applicable  
  Gross Expense Ratio 1.31%  
  Net Expense Ratio 1.11%  
  Inception Date 07/01/1997  
  Primary Benchmark SSgA Income and Growth Composite Index  
  Investment Manager SSgA Funds Management, Inc.  
  Management Team Life Solutions Team  
  Distributor State Street Global Markets, LLC  
  Distribution Frequency Annually  
  Fund Documents
  Quarterly Fund Fact Sheet (.pdf)
  Fund Prospectus (.pdf)
  Statement of Additional Information (.pdf)
  Fund Semi-Annual Report (.pdf)
  Fund Annual Report (.pdf)
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 Average annual total return and total return are historical and include change in share value and reinvestment of dividends and capital gains , if any.

♦The Advisor has contractually agreed to waive up to the full amount of the Management Fee and to reimburse the Life Solutions Funds for all expenses to the extent that total expenses (exclusive of non-recurring account fees and extraordinary expenses) exceed .45% until December 31, 2008. The other expenses and total annual expenses shown above have been restated to reflect the reimbursement.

Performance data reflects an expense limitation currently in effect, without which returns would have been lower.

Shares of the SSgA® funds are not insured by the FDIC or by another governmental agency: they are not obligations of the FDIC nor are they deposits or obligations of or guaranteed by State Street Bank and Trust Company. The SSgA funds pay State Street Bank and Trust Company for its services as custodian, transfer agent and shareholder servicing agent and pays SSgA Funds Management, Inc., an affiliate of State Street Bank and Trust Company, for investment advisory services.

Derivative investments may involve risks such as potential illiquidity of the markets and additional risk of loss of principal.

Diversification does not ensure against loss.

International markets entail different risks than those typically associated with domestic markets, including foreign currency fluctuation, political and economic instability, accounting changes and foreign taxation.

Composite Market Index components: 35% Russell 3000®, 5% MSCI® EAFE®, 60% Lehman Aggregate Bond Index. Indexes are unmanaged and can not be invested in directly.