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AST BlackRock Value Portfolio - Prudential Annuities

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<strong>AST</strong> Balanced Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (48%), Barclays<br />

Capital U.S. Aggregate Bond Index (40%) and MSCI EAFE (Morgan Stanley Capital International Europe, Australasia, Far East)<br />

Index (GD) (12%). The GD (gross dividends) version does not reflect the impact of withholding taxes on reinvested dividends.<br />

These returns do not include the effect of any investment management expenses. These returns would have been lower if they<br />

included the effect of these expenses.<br />

<strong>AST</strong> Capital Growth Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (60%), the<br />

MSCI EAFE Index (GD) (15%) and the Barclays Capital Aggregate Bond Index (25%). The GD (gross dividends) version of the MSCI<br />

EAFE Index does not reflect the impact of withholding taxes on reinvested dividends. These returns do not include the effect of any<br />

investment management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> CLS Moderate Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (40%), MSCI<br />

EAFE Index (10%), and the Barclays Capital Aggregate Bond Index (50%). These returns do not include the effect of any investment<br />

management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> FI Pyramis ® Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (50%), MSCI<br />

EAFE Index (20%), and the Barclays Capital Aggregate Bond Index (30%). These returns do not include the effect of any investment<br />

management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> First Trust Balanced Target <strong>Portfolio</strong> Primary Blended Index. The Primary Blended Index consists of the Russell 3000 Index<br />

(45%), the MSCI EAFE Index (20%), and the Barclays Capital U.S. Corporate Investment Grade Bond Index (35%). These returns<br />

do not include the effect of any investment management expenses. These returns would have been lower if they included the<br />

effect of these expenses.<br />

<strong>AST</strong> First Trust Balanced Target <strong>Portfolio</strong> Secondary Blended Index. The Secondary Blended Index consists of the Standard &<br />

Poor’s 500 Index (65%) and the Dow Jones Corporate Bond Index (35%). These returns do not include the effect of any investment<br />

management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> First Trust Capital Appreciation Target <strong>Portfolio</strong> Primary Blended Index. The Primary Blended Index consists of the Russell<br />

3000 Index (55%), the MSCI EAFE Index (25%) and the Barclays Capital U.S. Corporate Investment Grade Bond Index (20%).<br />

These returns do not include the effect of any investment management expenses. These returns would have been lower if they<br />

included the effect of these expenses.<br />

<strong>AST</strong> First Trust Capital Appreciation Target <strong>Portfolio</strong> Secondary Blended Index. The Secondary Blended Index consists of the<br />

Standard & Poor’s 500 Index (80%) and the Dow Jones Corporate Bond Index (20%). These returns do not include the effect of<br />

any investment management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> Horizon Growth Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (60%),<br />

MSCI EAFE Index (10%), and the Barclays Capital Aggregate Bond Index (30%). These returns do not include the effect of any<br />

investment management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> Horizon Moderate Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (40%),<br />

Barclays Capital U.S. Aggregate Bond Index (50%) and MSCI EAFE (Morgan Stanley Capital International Europe, Australasia, Far<br />

East) Index (GD) (10%). The GD (gross dividends) version does not reflect the impact of withholding taxes on reinvested dividends.<br />

These returns do not include the effect of any investment management expenses. These returns would have been lower if they<br />

included the effect of these expenses.<br />

<strong>AST</strong> JPMorgan Strategic Opportunities <strong>Portfolio</strong> Blended Index. The Blended Index consists of the Russell 3000 Index (27%),<br />

Barclays Capital U.S. Aggregate Bond Index (50%) the MSCI EAFE (Morgan Stanley Capital International Europe, Australasia, Far<br />

East) Index (GD) (13%) and the 3-Month US Treasury Bill Index (10%). The GD (gross dividends) version of the MSCI EAFE Index<br />

does not reflect the impact of withholding taxes on reinvested dividends. These returns do not include the effect of any investment<br />

management expenses. These returns would have been lower if they included the effect of these expenses.<br />

<strong>AST</strong> Preservation Asset Allocation <strong>Portfolio</strong> Blended Index. The Blended Index consists of Russell 3000 Index (28%), MSCI EAFE<br />

Index (GD) (7%), and Barclays Capital Aggregate Bond Index (65%). The GD (gross dividends) version of the MSCI EAFE Index<br />

does not reflect the impact of withholding taxes on reinvested dividends. These returns would have been lower if they included<br />

the effect of these expenses.<br />

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