NVIT Blueprint Managed Gr & Income
Standardized Performance
as of 11/05/2025
Objective And Strategy
ObjectiveThe investment seeks a high level of total return through investment in both equity and fixed-income securities, consistent with preservation of capital.
Strategy
The fund consists of two main components. First, a majority of its portfolio, referred to herein as the "Core Sleeve," operates as a "fund-of-funds" that invests primarily in mutual funds offered by Nationwide Variable Insurance Trust. The remainder of the fund, referred to herein as the "Volatility Overlay," invests in short-term fixed-income securities or is held in cash.
Principal Risks
N/A
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Flexible Allocation05/01/20250.800.9604/30/2026-