SSgA Life Solutions Balanced Fund (SSLBX)

FUND OBJECTIVE

The Fund seeks a balance of growth of capital and income by diversifying its assets in shares of the underlying SSgA funds.

Fund Information
As of  09/07/2010
Ticker SymbolSSLBX
Primary BenchmarkSSgA Balanced Composite Index
CUSIP784924714
Gross Expense Ratio0.78%
Net Expense Ratio0.45%
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 5.18% -2.76%
QTD 5.18% -7.59%
YTD 0.66% -4.30%
1 Year 8.75% 9.13%
3 Year -3.65% -6.06%
5 Year 0.79% 0.22%
10 Year 1.76% 1.13%
Inception07/01/1997 3.60% 3.23%

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-0.58%
Price$10.78
Price Change-$0.06
Shares Outstanding2.44 M
Total Net Assets$26.33 M


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

Unless otherwise noted all information contained herein is that of the SSgA Life Solutions Balanced Fund.

*Diversification does not ensure against loss.

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

Composite Market Index components: 50% Russell 3000®, 10% MSCI® EAFE®, 40% Lehman Aggregate Bond Index. Indexes are unmanaged and can not be invested in directly.