Transfer Current Balance By Percents

  1. Step 1:Make transfer selections.
  2. Step 2:Review selections.
  3. Complete.
MAIZE, MARY D34730 ABC SAMPLE PLAN

Enter a new percentage to begin a transfer. Please enter whole percentages only.

Account Balance as of

Asset Class Investment Current Balance Current Percentage Reallocated Percentage
Total Account Value $125,765.04 100 % %
Fix Int/Stable Value/Cash AUL Fixed Account (FIXD)1 $22,909.20 18 % %
Fix Int/Stable Value/Cash OneAmerica Money Market (BMMK) $0.00 0 % %
Intermediate-Term Bonds PIMCO Total Return (PTRR) $21,482.05 17 % %
High Yield Bonds Amer Fds Ameri High Inc Trst (AFHI) $5,453.00 5 % %
Large-Cap Stocks AmCent Equity Income (AEIA) $0.00 0 % %
Large-Cap Stocks OneAmerica Value (BVKK) $0.00 0 % %
Large-Cap Stocks T Rowe Price Growth Stock (TLCG) $35,421.62 28% %
Mid-Cap Stocks Fidelity Adv LevCo Stk (FALT) $0.00 0 % %
Mid-Cap Stocks Goldman Sachs Mid Value (GSML) $0.00 0 % %
Mid-Cap Stocks Thornburg Core Growth (TBCG) $7,427.96 6 % %
Small-Cap Stocks Fidelity Adv Small Cap (HASC) $6,311.73 5 % %
Foreign Stocks Thornburg International Value (TINV) $16,633.98 13 % %
World Stocks Invesco Global Equity (AGTR)RF
Redemption fee 2%, holding period 30 days.
$10,125.50 8% %

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Important: Any shareholder redeeming shares with a value of $5,000 or more from an American Fund will be precluded from investing in that fund until 30 calendar days have elapsed since the date of the redemption transaction.


Note: Investment option account values are translated to a rounded percentage value. If an investment option has an account value less than .5 percent, the percentage value will be rounded to zero. The sum of the percentage may not add up to 100 percent because of the rounding. Refer to the dollar amount for the investment option.

Note: Investment options are valued as of the close of financial markets on the last previous active trading day.

Note: View more information about the investment option summaries.

1.
A maximum of 20% can be transferred from this investment option per contract year.
RF.
A redemption fee is assessed to a participant's account if shares of a particular fund are purchased and sold within the minimum holding period determined by the fund company. Redemption fees are charged by the mutual fund company and paid out of the participant's account.