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GuideStone MyDestination 2045
Share Class: GS4
OVERVIEW (as of 12/31/2009 )
 
NASDAQ Ticker Symbol:GMFZX
CUSIP:40171W264
Inception Date:12/29/2006
Investment Objective:The Fund seeks capital appreciation and current income consistent with its asset allocation.

Investment Strategy:The Fund, through investments in the Select Funds, is managed to a retirement date of year 2045 by adjusting the percentage of fixed income securities and equity securities to become more conservative each year until reaching the retirement year and then approximately 15 years thereafter.

Investment Suitability:This Fund may be suitable for investors who want a simplified “one fund” retirement solution, a diversified mix of investments that becomes more conservative over time, and plan to retire at an age that is near the year 2045. The Funds’ value will fluctuate due to changes in interest rates. There is a risk that the issuer of a fixed-income investment may fail to pay interest or even principal due in a timely manner or at all. The Funds’ value will fluctuate due to business developments concerning a particular issuer, industry or country, as well as general market and economic conditions. The Funds are subject to risks presented by investments in foreign issuers and changes in currency exchange rates relative to the U.S. dollar may negatively affect the values of foreign investments held by the Select Funds. By investing in this Fund, you will incur the expenses of the Fund, in addition to the those of the underlying Select Funds.

The Fund attempts to achieve its objective by investing in the GuideStone Select Funds. By investing in the Fund you will also incur the expenses and risks of the underlying Select Funds. The principal risks of the Funds will change depending on the asset mix of the Select Funds in which they invest. You may directly invest in the Select Funds. The Funds’ value will go up and down in response to changes in the share prices of the investments that they own. It is possible to lose money by investing in the Fund.
FUND PROFILE 1
Fund Size ($ in millions)
Total Fund Net Assets for All Share Classes$44
Asset Allocation
U.S. Equities72%
Non-U.S. Equities27%
Fixed Income*1%
* Includes cash and cash equivalents.
Portfolio Composite
Money Market Fund1%
Low-Duration Bond Fund0%
Medium-Duration Bond Fund0%
Extended-Duration Bond Fund0%
Global Bond Fund0%
Inflation Protected Bond Fund 0%
Equity Index Fund5%
Real Estate Securities Fund10%
Value Equity Fund23%
Growth Equity Fund24%
Small Cap Equity Fund10%
International Equity Fund27%

1Portfolio composition subject to change at any time.


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