Great-West Lifetime 2025 Fund I

Fund Holdings

Asset Allocation

% Long % Short % Net
Cash 8.37 1.36 7.0
Stocks 30.57 0.0 30.57
Bonds 36.3 0.0 36.3
Other 4.1 0.05 4.04
Foreign Bonds 8.49 0.38 8.11
Foreign Stocks 13.69 0.0 13.69
Convertible 0.13 0.0 0.13
Preferred 0.16 0.0 0.16

Updated 12.31.2012

Top 10 Holdings

Performance as of 04.30.2013

Portfolio as of 12.31.2012

% Net Assets
Great-West Federated Bond Init 13.52
Great-West Bond Index Init 13.43
Great-West S&P 500® Index Init 9.01
Great-West Putnam High Yield Bond Init 5.12
Great-West International Index Init 4.89
Great-West S&P Mid Cap 400® Index Init 3.86
PIMCO Real Return Admin 3.14
American Century Infl-Adj Bond Inv 3.14
Oppenheimer International Bond A 3.0
Great-West Templeton Global Bond Init 2.99

Bond Ratings (%)

Updated 12.31.2012

Sector MXALX
AAA 50.83
AA 3.56
A 9.41
BBB 17.04
BB 4.81
B 7.64
Below B 3.42
Other 3.27
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Target Date 2021-2025s
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