Why invest in this Fund?

The fund seeks long-term capital appreciation. To pursue this goal, the fund normally invests at least 80% of its assets in stocks (or derivatives) of U.S. companies that demonstrate attractive investment attributes and sustainable business practices and have no material unresolvable environmental, social and governance (ESG) issues. The fund focuses on companies with market caps of $5 billion or more. The fund may invest up to 20% of its assets in foreign securities, including up to 10% in emerging markets securities.
Min. Class Investment
$1,000
Class Inception Date
12/31/00
Fund Assets
$368,590,403  As of  08/30/24
Class Assets
$60,571,803  As of  08/30/24
Portfolio Turnover Rate
35.09% As of fiscal year end  12/31/23
Benchmark
S&P 500® Index
Fund Holdings
44 As of 07/31/24
FUND STATUS
Open

Portfolio Managers

  • Nick  Pope

    Nick Pope

    Portfolio Manager, Newton Investment Management

    Managing Fund Since 2022

    Joined Firm in 2011

    Joined Industry in 2005

  • Julianne D. McHugh

    Julianne D. McHugh

    Senior Portfolio Manager, Newton Investment Management North America, LLC

    Managing Fund Since 2023

    Joined Firm in 2004

    Joined Industry in 1992



Fees & Expenses

Variable insurance products have additional fees, charges and expenses. Please consult the applicable variable contract prospectus for more detailed information.


Portfolio Manager/Sub-Investment Adviser

Newton Investment Management Limited (NIM), the fund's sub-adviser, has entered into a sub-sub- investment advisory agreement with its affiliate, Newton Investment Management North America, LLC (NIMNA), to enable NIMNA to provide certain advisory services to NIM for the benefit of the fund, including, but not limited to, portfolio management services.

Nick Pope and Julianne McHugh are the fund's primary portfolio managers. Mr. Pope and Ms. McHugh have been primary portfolio managers of the fund since January 2022 and March 2023, respectively. Mr. Pope is a portfolio manager on the Sustainable Equity strategy at NIM. Ms. McHugh is Head of Sustainable Equities and a senior portfolio manager at NIMNA. NIM's Responsible Investment team provides input to the portfolio managers, including supporting fundamental research and company-level ESG analysis, which helps to identify sustainable investment themes, as well as controversy monitoring, company engagement and active proxy voting.

Top Holdings

As of 07/31/24

Asset Allocation


      Main Risks

      Equity Risk:
      Equity funds are subject generally to market, market sector, market liquidity, issuer and investment style risks, among other factors, to varying degrees, all of which are more fully described in the fund's prospectus.
      Social Investment Risk:
      Socially responsible funds may forgo opportunities to invest in other securities when advantageous, or may sell securities when disadvantageous for it to do so while pursuing its socially responsible criteria.

      Literature

      PRODUCT MATERIALS

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      Factsheet, Prospectus and Reports

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      Factsheet Download
      Prospectus Download
      Summary Prospectus Download
      SAI Download
      Annual Report Download
      Semi Annual Report - Service Shares Download
      Semi Annual Financials and Other Information Download
      1Q Fiscal Holdings Download
      3Q Fiscal Holdings Download