SGL Growth & Income

The SGL Growth and Income portfolio model is designed for the risk-tolerant investor with a mid- to long-term investment time horizon. The Targeted Performance for this portfolio is greater than 100 percent of the S&P 500 upside performance with 85 percent market risk over a complete market cycle. The SGL Growth & Income portfolio is typically 80–100 percent allocated in equity securities.  The Growth & Income strategy invests across all market capitalizations.