SSgA Life Solutions Growth Fund - R Share (SLRRX)

FUND OBJECTIVE

The Fund seeks long-term growth of capital by diversifying its assets in shares of the underlying SSgA funds.

Fund Information
As of  09/07/2010
Ticker SymbolSLRRX
Primary BenchmarkSSgA Growth Composite Index
CUSIP784924524
Gross Expense Ratio3.02%
Net Expense Ratio1.17%
Inception Date07/01/1997
Investment ManagerSSgA Funds Management, Inc.
Management TeamLife Solutions Team
DistributorState Street Global Markets, LLC
Distribution FrequencyAnnually
Fund Performance
Month End
as of07/31/2010
Quarter End
as of06/30/2010
1 Month 6.48% -4.05%
QTD 6.48% -10.74%
YTD -1.24% -7.25%
1 Year 8.37% 8.72%
3 Year -6.83% -9.63%
5 Year -0.68% -1.28%
10 Year 0.10% -0.71%
Inception07/01/1997 2.46% 1.98%

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. Visit ssgafunds.com  for most recent month-end performance.

Fund Net Asset Value  
As of  09/03/2010
1 Day Average Yield (subsidized)0.00%
Percent Change-0.72%
Price$10.34
Price Change-$0.07
Shares Outstanding20,572
Total Net Assets$212,752.53

PURCHASE INFORMATION

SSgA Funds Class R Shares may not be purchased by individuals directly, but must be purchased through a third party financial institution which is permitted by contract with the SSgA Funds to offer shares. The third party may be a retirement plan administrator, bank, broker or advisor, and will be referred to in this prospectus as a "Financial Intermediary." Only certain Financial Intermediaries are authorized to receive purchase orders on the Funds' behalf. The Funds reserve the right to reject any purchase order.

If you have questions about SSgA Funds or the Class R Shares, including questions about the investment objectives, strategies or risks, please call the SSgA Funds toll free at 1-800-647-7327.



The short- term results of a relatively new fund are not necessarily indicative of its long-term prospects.  The use of short selling entails a high degree of risk, may increase potential losses and is not suitable for all investors.


Not FDIC Insured - No Bank Guarantee - May Lose Value

*Diversification does not ensure against loss.

Unless otherwise noted all information contained herein is that of the Life Solutions Income & Growth Fund RShares.

Total returns stated prior to the class inception date of R shares (5/14/04) for the fund was derived from the original share class performance adjusted for higher operating expenses, including Distribution and Service (12b-1) fees. All share classes invest in the same underlying fund portfolio. Please see the fund's prospectus for more details.

^If the total expenses of the Institutional Shares are above it's respective cap, then the advisor will waive the management fee for both the institutional and class R in an equal amount to reduce the total expenses to the level of the cap in effect on the Institutional Shares. 

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

Composite Market Index components: 65% Russell 3000®, 15% MSCI® EAFE®, 20% Lehman Aggregate Bond Index. Indexes are unmanaged and can not be invested in directly.