Funds

BlackRock LifePath® Index 2035 Fund Investor A Shares

LIJAX

BlackRock LifePath® Index 2035 Fund Investor A Shares

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  • Price (USD)19.52
  • Today's Change-0.04 / -0.20%
  • 1 Year change+21.17%
Data delayed at least 15 minutes, as of Nov 13 2024.
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Profile and investment

Fund typeOpen Ended Investment Company
Investment style (stocks)Market Cap: Large
Investment Style: Blend
Morningstar categoryTarget-Date 2035
Launch date31 May 2011
Price currencyUSD
DomicileUnited States
SymbolLIJAX
Manager & start date
Greg Savage
30 Apr 2018
Lisa O'Connor
02 Jun 2020
Christopher Chung
02 Jun 2020
Paul Whitehead
08 Feb 2023
Pricing frequencyDaily
Total net assets
10.07bn USD
As of Oct 31 2024
Share class size
89.48m USD
As of Oct 31 2024
Net expense ratio0.39%
Front end load--
Deferred load--
Maximum Redemption Fee--
Min. initial investment1,000.00
USD
Min. additional investment50.00
USD
Initial IRA--
Additional IRA--
Available for saleUnited States
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Top 5 holdings

Top 5 holdings as a per cent of portfolio
21.17%80.21%0.00%80.21%
Category average% Net assets% Short% Long
Company1 year changePortfolio weightLong allocation
Blackrock Russell 1000 Index Fund F--38.98%
iShares Core MSCI Total International Stock ETF
IXUS:NMQ:USD
+12.78%21.43%
iShares U.S. Securitized Bond Index Fund
BISBX
+4.58%7.60%
iShares U.S. Intermediate Government Bond Index Fund
BIGBX
+2.63%6.30%
iShares TIPS Bond ETF
TIP:PCQ:USD
+3.74%5.90%
Per cent of portfolio in top 5 holdings: 80.21%
Top 10 Holdings

Diversification

Asset type

Asset type

US stock40.76%
US bond31.09%
Non-US stock22.57%
Non-US bond2.05%
Cash0.67%
Other2.86%

Top 5 sectors

Equity
Fixed income
Tax-free bonds
Technology14.95%
Financial Services9.39%
Healthcare6.45%
Industrials6.45%
Consumer Cyclical6.41%
Other19.67%

Top 5 regions

United States40.76%
Eurozone4.33%
Japan3.54%
Emerging Asia3.28%
Europe - ex Euro2.52%
Other8.89%
Sector and region weightings are calculated using only long position holdings of the portfolio.
The performance data shown in tables and graphs on this page is calculated in USD of the fund/index/average (as applicable), on a Bid To Bid / Nav to Nav basis, with gross dividends re-invested on ex-dividend date. Past performance is not necessarily a guide to future performance; unit prices may fall as well as rise.
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