Our goals are centered on our customers' long-term prosperity.

Overview

By displaying changes in the Fund's performance from year to year and comparing the Fund's average annual total returns with those of a broad measure of market performance and one or more other performance measures. The following chart below give some insight into the risks of investing in the Fund.

For instance, the mining, energy, paper and forest products, and plantation-owning corporations are all included in the S&P North American Natural Resources Sector Index. The performance of the Fund in the past does not guarantee how the Fund will perform in the future.

The returns would be lower than those stated if fees and expenses related to your variable annuity contract and/or variable life insurance policy were taken into account. Furthermore, huge.

The annual returns for each class may vary depending on the number of shares bought or sold relative to the value of assets represented by the class.

Stay in touch with us

Have any questions?

inquiry@phoenixcmi.com