JNL Conservative Allocation Fund Class I
| Weiss Ratings | I-35460 | Click to Compare |
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| Rating | ||||
| Reward Index | Weak | |||
| Reward Grade | D+ | |||
| Risk Index | Fair | |||
| Risk Grade | C | |||
| Company Info | I-35460 | Click to Compare |
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| Provider | Jackson National | |||
| Manager/Tenure (Years) | William Harding (10), Sean Hynes (10), Mark Pliska (10), 1 other | |||
| Website | http://www.jackson.com | |||
| Fund Information | I-35460 | Click to Compare |
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| Fund Name | JNL Conservative Allocation Fund Class I | |||
| Category | Global Conservative Allocation | |||
| Sub-Category | Cautious Allocation | |||
| Prospectus Objective | Asset Allocation | |||
| Inception Date | Sep 25, 2017 | |||
| Open/Closed To New Investors | Open | |||
| Minimum Initial Investment | 0.00 | |||
| Minimum Subsequent Investment | -- | |||
| Front End Fee | -- | |||
| Back End Fee | -- | |||
| Dividends and Shares | I-35460 | Click to Compare |
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| Dividend Yield | 0.00% | |||
| Dividend | I-35460 | Click to Compare |
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| Dividend Yield (Forward) | 1.85% | |||
| Asset Allocation | I-35460 | Click to Compare |
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| Cash | 5.47% | |||
| Stock | 22.09% | |||
| U.S. Stock | 14.68% | |||
| Non-U.S. Stock | 7.41% | |||
| Bond | 69.28% | |||
| U.S. Bond | 56.26% | |||
| Non-U.S. Bond | 13.02% | |||
| Preferred | 0.30% | |||
| Convertible | 1.11% | |||
| Other Net | 1.75% | |||
| Price History | I-35460 | Click to Compare |
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| 7-Day Total Return | 0.94% | |||
| 30-Day Total Return | -1.77% | |||
| 60-Day Total Return | -1.34% | |||
| 90-Day Total Return | -0.49% | |||
| Year to Date Total Return | -0.43% | |||
| 1-Year Total Return | 7.27% | |||
| 2-Year Total Return | 14.04% | |||
| 3-Year Total Return | 21.91% | |||
| 5-Year Total Return | 14.12% | |||
| Price | I-35460 | Click to Compare |
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| Closing Price | -- | |||
| 1-Month Low Price | -- | |||
| 1-Month High Price | -- | |||
| 52-Week Low Price | -- | |||
| 52-Week Low Price (Date) | -- | |||
| 52-Week High Price | -- | |||
| 52-Week High Price (Date) | -- | |||
| NAV | I-35460 | Click to Compare |
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| Nav | $16.08 | |||
| 1-Month Low NAV | $15.87 | |||
| 1-Month High NAV | $16.38 | |||
| 52-Week Low NAV | $14.55 | |||
| 52-Week Low NAV (Date) | Apr 08, 2025 | |||
| 52-Week High NAV | $16.52 | |||
| 52-Week High Price (Date) | Feb 27, 2026 | |||
| Beta / Standard Deviation | I-35460 | Click to Compare |
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| Beta | 0.95 | |||
| Standard Deviation | 5.91 | |||
| Balance Sheet | I-35460 | Click to Compare |
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| Total Assets | 547.88M | |||
| Operating Ratios | I-35460 | Click to Compare |
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| Expense Ratio | 0.92% | |||
| Turnover Ratio | 27.00% | |||
| Performance | I-35460 | Click to Compare |
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| Last Bull Market Total Return | 8.52% | |||
| Last Bear Market Total Return | -7.68% | |||