Stark Bank Group Enrollment Booklet
Stark Bank Group, Ltd. 401(k) Profit Sharing Plan & Trust
Document Summary Part I of this document consists of performance information for the plan’s investment options, and fees associated with those investments. In addition, Part I shows how well the investments have performed in the past and compares the returns with an industry benchmark. Part II provides detailed information on the plan-level and individual fees that may be charged to your account. Part I. Investment Information Your plan gives you the right to direct the investment of your account balance. To make a change to your investment elections, log into your account at www.americantrustretirement.com; under Transactions, click Manage Investments ; under Change Elections, click Get Started . The table below provides a list of the Designated Investment Alternatives (options) available to you under the plan and how these options have performed over time. In addition, this table allows you to compare each investment type with an appropriate benchmark for the same timeframe. Past performance does not guarantee how the investment option will perform in the future, and your investment in these options could lose money. Information about an option’s principal risks is available in the investment’s fund fact sheet, as well as the fund’s prospectus. This information can be obtained by logging into your account at www.americantrustretirement.com or calling American Trust at 800.548.2994 or contacting your plan administrator. This table also provides the fee and expense information for each investment option. The Total Annual Operating Expenses are expenses that reduce the rate of return of the investment option. This expense is expressed as a percentage, as well as the cost per $1,000 of investment. The Shareholder-Type Fee is any fee charged against your investment for purchase and sale other than the Total Annual Operating Expenses.
Mutual Funds
Total Annual Operating Expense
Average Annual Total Return As of 7/31/2017
Since Inception
Shareholder- Type Fees
Name/Type of Option
As a %
Per $1,000
1 year
5 year
10 year
Large Growth T. Rowe Price Instl Large Cap Growth Benchmark: Russell 1000 Growth TR USD
0.56%
$5.60
28.46% 18.05%
18.63% 15.60%
10.71%
- -
None
9.36%
Large Blend Vanguard 500 Index Admiral Benchmark: S&P 500 TR USD
0.04%
$0.40
16.00% 16.04%
14.74% 14.78%
7.73% 7.74%
- -
None
Large Value American Beacon Large Cap Value Instl Benchmark: Russell 1000 Value TR USD
0.60%
$6.00
18.97% 13.76%
13.47% 14.00%
5.99% 6.21%
- -
None
Mid-Cap Growth T. Rowe Price Mid-Cap Growth I
0.63%
$6.30
16.27% 13.39%
17.08% 14.60%
10.43%
- -
None
Benchmark: Russell Mid Cap Growth TR USD
8.30%
Mid-Cap Blend Columbia Mid Cap Index Z
0.20%
$2.00
14.44% 14.69%
14.90% 15.13%
8.96% 9.13%
- -
None
Benchmark: S&P MidCap 400 TR Mid-Cap Value Victory Sycamore Established Value I Benchmark: Russell Mid Cap Value TR USD
0.69%
$6.90
15.11% 12.69%
16.31% 15.32%
10.13%
- -
None
7.99%
Small Growth Hartford Small Cap Growth Y
0.83%
$8.30
18.32% 17.76%
15.33% 14.58%
9.31% 8.49%
- -
None
Benchmark: Russell 2000 Growth TR USD Small Value Prudential QMA Small-Cap Value Z Benchmark: Russell 2000 Value TR USD International MFS Instl International Equity Benchmark: MSCI EAFE NR USD Emerging Markets Oppenheimer Developing Markets I Benchmark: MSCI EM NR USD Balanced American Funds American Balanced R6
0.73%
$7.30
19.66% 19.21%
14.02% 13.76%
8.46% 6.94%
- -
None
0.71%
$7.10
20.83% 17.77%
9.67% 9.06%
4.17% 1.46%
- -
None
0.88%
$8.80
25.31% 24.84%
6.22% 4.76%
4.74% 1.98%
- -
None
0.29%
$2.90
10.96%
11.03%
7.23% 6.81%
- -
None
Benchmark: 60% S&P 500 - 40% Barclays Aggregate Short-Interm Term Bond Vanguard Short-Term Investment-Grade Adm Benchmark: BBgBarc US Govt/Credit Interm TR USD
9.21%
9.63%
0.10%
$1.00
1.22% -0.03%
2.07% 1.67%
3.25% 3.82%
- -
None
Interm-Long Term Bond Loomis Sayles Core Plus Bond N
0.39%
$3.90
2.06% -0.51%
3.26% 2.02%
6.32% 4.44%
- -
None
Benchmark: BBgBarc US Agg Bond TR USD
High Yield Bond BlackRock High Yield Bond K
0.53%
$5.30
11.68% 10.94%
7.06% 6.73%
7.88% 8.26%
- -
None
Benchmark: BBgBarc US HY 2% Issuer Cap TR USD
Stable Value American Trust Stable Value
0.20% 1
$2.00
1.74% 0.65%
1.55% 0.20%
1.97% 0.46%
- -
None
1 Represents fees paid to the underlying fund
Benchmark: USTREAS T-Bill Auction Ave 3 Mon
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