MOD

Jump Page for Search

  CREF Bond Market Account (R1) Fixed Income CREF Variable Annuity / Class R1 QCBMRX 0.69% -0.63% 1.83% 3.35% 4.18% 6.07% 3/01/1990
View Details CREF Bond Market Account (R2) Fixed Income CREF Variable Annuity / Class R2 QCBMPX 0.46% -0.41% 1.91% 3.39% 4.21% 6.08% 4/24/2015
View Details CREF Bond Market Account (R3) Fixed Income CREF Variable Annuity / Class R3 QCBMIX 0.37% -0.33% 1.93% 3.41% 4.21% 6.08% 4/24/2015
View Details CREF Equity Index Account (R1) Equities CREF Variable Annuity / Class R1 QCEQRX 0.61% -2.97% 10.09% 9.96% 5.96% 8.63% 4/29/1994
View Details CREF Equity Index Account (R2) Equities CREF Variable Annuity / Class R2 QCEQPX 0.38% -2.76% 10.17% 10.01% 5.99% 8.64% 4/24/2015
View Details CREF Equity Index Account (R3) Equities CREF Variable Annuity / Class R3 QCEQIX 0.29% -2.68% 10.20% 10.03% 6.00% 8.64% 4/24/2015
View Details CREF Global Equities Account (R1) Equities CREF Variable Annuity / Class R1 QCGLRX 0.70% -5.54% 5.68% 5.78% 3.79% 7.01% 5/01/1992
View Details CREF Global Equities Account (R2) Equities CREF Variable Annuity / Class R2 QCGLPX 0.46% -5.34% 5.76% 5.83% 3.81% 7.02% 4/24/2015
View Details CREF Global Equities Account (R3) Equities CREF Variable Annuity / Class R3 QCGLIX 0.38% -5.27% 5.78% 5.84% 3.82% 7.02% 4/24/2015
View Details CREF Growth Account (R1) Equities CREF Variable Annuity / Class R1 QCGRRX 0.64% 0.33% 13.24% 11.66% 7.24% 7.75% 4/29/1994
View Details CREF Growth Account (R2) Equities CREF Variable Annuity / Class R2 QCGRPX 0.41% 0.55% 13.32% 11.71% 7.26% 7.76% 4/24/2015
View Details CREF Growth Account (R3) Equities CREF Variable Annuity / Class R3 QCGRIX 0.32% 0.63% 13.35% 11.72% 7.27% 7.76% 4/24/2015
View Details CREF Inflation-Linked Bond Account (R1) Fixed Income CREF Variable Annuity / Class R1 QCILRX 0.64% -3.62% -1.92% 2.41% 3.61% 5.24% 5/01/1997
View Details CREF Inflation-Linked Bond Account (R2) Fixed Income CREF Variable Annuity / Class R2 QCILPX 0.40% -3.41% -1.85% 2.45% 3.63% 5.25% 4/24/2015
View Details CREF Inflation-Linked Bond Account (R3) Fixed Income CREF Variable Annuity / Class R3 QCILIX 0.32% -3.34% -1.83% 2.47% 3.64% 5.26% 4/24/2015
View Details CREF Money Market Account (R1)
 
An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.
Money Market CREF Variable Annuity / Class R1 QCMMRX 0.64% 0.00% 0.00% 0.00% 1.17% 3.43% 4/01/1988
View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.

CREF Money Market Account (R2)
 
An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.
Money Market CREF Variable Annuity / Class R2 QCMMPX 0.40% 0.00% 0.00% 0.00% 1.17% 3.43% 4/24/2015
View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.

CREF Money Market Account (R3)
 
An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.
Money Market CREF Variable Annuity / Class R3 QCMMIX 0.32% 0.00% 0.00% 0.00% 1.17% 3.43% 4/24/2015
View Details 7-day current annualized yield 0.06% as of 2/11/2016 7-day effective annualized yield 0.06% as of 2/11/2016

An investment in the CREF Money Market Account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency.

CREF Social Choice Account (R1) Multi-Asset CREF Variable Annuity / Class R1 QCSCRX 0.65% -3.37% 5.07% 6.01% 4.85% 8.07% 3/01/1990
View Details CREF Social Choice Account (R2) Multi-Asset CREF Variable Annuity / Class R2 QCSCPX 0.42% -3.15% 5.15% 6.06% 4.88% 8.08% 4/24/2015
View Details CREF Social Choice Account (R3) Multi-Asset CREF Variable Annuity / Class R3 QCSCIX 0.33% -3.08% 5.17% 6.07% 4.88% 8.08% 4/24/2015
View Details CREF Stock Account (R1) Equities CREF Variable Annuity / Class R1 QCSTRX 0.69% -5.28% 6.48% 6.73% 4.69% 9.61% 7/31/1952
View Details CREF Stock Account (R2) Equities CREF Variable Annuity / Class R2 QCSTPX 0.46% -5.07% 6.56% 6.78% 4.71% 9.62% 4/24/2015
View Details CREF Stock Account (R3) Equities CREF Variable Annuity / Class R3 QCSTIX 0.37% -5.00% 6.59% 6.80% 4.72% 9.62% 4/24/2015
View Details TIAA Real Estate Account Real Estate TIAA Variable Annuity / Variable Annuity QREARX 0.87% 7.21% 9.87% 10.48% 4.14% 6.50% 10/02/1995
View Details TIAA-CREF Bond Fund (Advisor)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TIBHX 0.41% -0.27% 2.31% 4.05% 4.71% 5.35% 12/04/2015 View Details TIAA-CREF Bond Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TIBDX 0.31% -0.25% 2.31% 4.06% 4.71% 5.35% 7/01/1999
View Details TIAA-CREF Bond Fund (Premier)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TIDPX 0.47% -0.30% 2.16% 3.92% 4.62% 5.29% 9/30/2009
View Details TIAA-CREF Bond Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retail Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retail Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Retail Class TIORX 0.62% -0.50% 2.00% 3.76% 4.49% 5.21% 3/31/2006
View Details TIAA-CREF Bond Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Retirement Class TIDRX 0.56% -0.45% 2.06% 3.81% 4.45% 5.19% 3/31/2006
View Details TIAA-CREF Bond Index Fund (Advisor)
 
The fund's Institutional Class began operations on 09/14/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TBIAX 0.22% -0.27% 2.06% 3.38% -- 3.73% 12/04/2015 View Details TIAA-CREF Bond Index Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TBIIX 0.12% -0.34% 2.03% 3.37% -- 3.72% 9/14/2009
View Details TIAA-CREF Bond Index Fund (Premier)
 
The fund's Institutional Class began operations on 09/14/2009. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TBIPX 0.27% -0.49% 1.85% 3.21% -- 3.56% 9/30/2009
View Details TIAA-CREF Bond Index Fund (Retail) Fixed Income Mutual Fund / Retail Class TBILX 0.45% -0.57% 1.69% 3.01% -- 3.38% 9/14/2009
View Details TIAA-CREF Bond Index Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TBIRX 0.37% -0.49% 1.78% 3.11% -- 3.47% 9/14/2009
View Details TIAA-CREF Bond Plus Fund (Advisor)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TCBHX 0.41% -0.55% 2.26% 4.25% -- 4.81% 12/04/2015 View Details TIAA-CREF Bond Plus Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TIBFX 0.32% -0.62% 2.24% 4.24% -- 4.80% 3/31/2006
View Details TIAA-CREF Bond Plus Fund (Premier)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TBPPX 0.47% -0.77% 2.08% 4.08% -- 4.70% 9/30/2009
View Details TIAA-CREF Bond Plus Fund (Retail) Fixed Income Mutual Fund / Retail Class TCBPX 0.64% -0.83% 1.94% 3.92% -- 4.57% 3/31/2006
View Details TIAA-CREF Bond Plus Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TCBRX 0.57% -0.77% 2.02% 3.98% -- 4.56% 3/31/2006
View Details TIAA-CREF Emerging Markets Debt Fund (Advisor)
 
The fund's Institutional Class began operations on 09/26/2014. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TEDHX 0.76% -4.32% -- -- -- -4.77% 12/04/2015 View Details TIAA-CREF Emerging Markets Debt Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TEDNX 1.17% -4.31% -- -- -- -4.76% 9/26/2014
View Details TIAA-CREF Emerging Markets Debt Fund (Premier) Fixed Income Mutual Fund / Premier Class TEDPX 1.32% -4.45% -- -- -- -4.92% 9/26/2014
View Details TIAA-CREF Emerging Markets Debt Fund (Retail) Fixed Income Mutual Fund / Retail Class TEDLX 1.51% -4.49% -- -- -- -5.06% 9/26/2014
View Details TIAA-CREF Emerging Markets Debt Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TEDTX 1.42% -4.44% -- -- -- -4.99% 9/26/2014
View Details TIAA-CREF Emerging Markets Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 08/31/2010. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TEMHX 1.06% -18.80% -9.68% -5.76% -- -2.98% 12/04/2015 View Details TIAA-CREF Emerging Markets Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TEMLX 0.95% -18.79% -9.67% -5.76% -- -2.98% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Fund (Premier) Equities Mutual Fund / Premier Class TEMPX 1.10% -18.91% -9.79% -5.90% -- -3.12% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Fund (Retail) Equities Mutual Fund / Retail Class TEMRX 1.33% -19.04% -9.98% -6.13% -- -3.35% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Fund (Retirement) Equities Mutual Fund / Retirement Class TEMSX 1.20% -18.96% -9.89% -6.00% -- -3.23% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Index Fund (Advisor)
 
The fund's Institutional Class began operations on 08/31/2010. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TEQHX 0.33% -19.75% -9.09% -5.75% -- -2.82% 12/04/2015 View Details TIAA-CREF Emerging Markets Equity Index Fund (Institutional) Equities Mutual Fund / Institutional Class TEQLX 0.23% -19.74% -9.08% -5.74% -- -2.82% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Index Fund (Premier) Equities Mutual Fund / Premier Class TEQPX 0.39% -19.87% -9.20% -5.88% -- -2.96% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Index Fund (Retail) Equities Mutual Fund / Retail Class TEQKX 0.64% -20.03% -9.42% -6.11% -- -3.20% 8/31/2010
View Details TIAA-CREF Emerging Markets Equity Index Fund (Retirement) Equities Mutual Fund / Retirement Class TEQSX 0.48% -19.96% -9.31% -5.98% -- -3.06% 8/31/2010
View Details TIAA-CREF Enhanced International Equity Index Fund (Advisor)
 
The fund's Institutional Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TEIEX 0.53% -7.13% 2.30% 2.77% -- -1.25% 12/04/2015 View Details TIAA-CREF Enhanced International Equity Index Fund (Institutional) Equities Mutual Fund / Institutional Class TFIIX 0.44% -7.26% 2.25% 2.74% -- -1.27% 11/30/2007
View Details TIAA-CREF Enhanced Large-Cap Growth Index Fund (Advisor)
 
The fund's Institutional Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TECGX 0.45% 2.39% 12.14% 11.01% -- 6.71% 12/04/2015 View Details TIAA-CREF Enhanced Large-Cap Growth Index Fund (Institutional) Equities Mutual Fund / Institutional Class TLIIX 0.35% 2.42% 12.15% 11.02% -- 6.72% 11/30/2007
View Details TIAA-CREF Enhanced Large-Cap Value Index Fund (Advisor)
 
The fund's Institutional Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TELCX 0.46% -5.06% 8.28% 9.00% -- 3.69% 12/04/2015 View Details TIAA-CREF Enhanced Large-Cap Value Index Fund (Institutional) Equities Mutual Fund / Institutional Class TEVIX 0.35% -5.05% 8.28% 9.01% -- 3.69% 11/30/2007
View Details TIAA-CREF Equity Index Fund (Advisor)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TEIHX 0.16% -2.45% 10.54% 10.36% 6.37% 4.42% 12/04/2015 View Details TIAA-CREF Equity Index Fund (Institutional) Equities Mutual Fund / Institutional Class TIEIX 0.05% -2.51% 10.52% 10.35% 6.36% 4.41% 7/01/1999
View Details TIAA-CREF Equity Index Fund (Premier) Equities Mutual Fund / Premier Class TCEPX 0.20% -2.61% 10.35% 10.19% 6.26% 4.35% 9/30/2009
View Details TIAA-CREF Equity Index Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retail Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retail Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retail Class TINRX 0.36% -2.75% 10.18% 10.03% 6.14% 4.28% 3/31/2006
View Details TIAA-CREF Equity Index Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retirement Class TIQRX 0.30% -2.71% 10.24% 10.09% 6.11% 4.27% 3/31/2006
View Details TIAA-CREF Global Natural Resources Fund (Advisor)
 
The fund's Institutional Class began operations on 11/01/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TNRHX 0.85% -24.86% -14.69% -- -- -8.86% 12/04/2015 View Details TIAA-CREF Global Natural Resources Fund (Institutional) Equities Mutual Fund / Institutional Class TNRIX 0.74% -24.85% -14.69% -- -- -8.86% 11/01/2011
View Details TIAA-CREF Global Natural Resources Fund (Premier) Equities Mutual Fund / Premier Class TNRPX 0.89% -25.04% -14.84% -- -- -9.02% 11/01/2011
View Details TIAA-CREF Global Natural Resources Fund (Retail) Equities Mutual Fund / Retail Class TNRLX 1.13% -25.23% -15.05% -- -- -9.24% 11/01/2011
View Details TIAA-CREF Global Natural Resources Fund (Retirement) Equities Mutual Fund / Retirement Class TNRRX 0.99% -25.07% -14.93% -- -- -9.09% 11/01/2011
View Details TIAA-CREF Growth & Income Fund (Advisor)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TGIHX 0.53% -0.45% 11.32% 11.15% 8.04% 4.85% 12/04/2015 View Details TIAA-CREF Growth & Income Fund (Institutional) Equities Mutual Fund / Institutional Class TIGRX 0.42% -0.43% 11.33% 11.15% 8.05% 4.85% 7/01/1999
View Details TIAA-CREF Growth & Income Fund (Premier)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRPGX 0.57% -0.59% 11.15% 10.98% 7.94% 4.79% 9/30/2009
View Details TIAA-CREF Growth & Income Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retail Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retail Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retail Class TIIRX 0.74% -0.78% 10.96% 10.79% 7.82% 4.71% 3/31/2006
View Details TIAA-CREF Growth & Income Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retirement Class TRGIX 0.67% -0.77% 11.03% 10.87% 7.77% 4.60% 10/01/2002
View Details TIAA-CREF High Yield Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TIHYX 0.36% -6.05% 0.65% 4.13% -- 6.16% 3/31/2006
View Details TIAA-CREF High Yield Fund (Premier)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TIHPX 0.51% -6.19% 0.50% 3.98% -- 6.06% 9/30/2009
View Details TIAA-CREF High Yield Fund (Retail) Fixed Income Mutual Fund / Retail Class TIYRX 0.64% -6.25% 0.39% 3.86% -- 5.97% 3/31/2006
View Details TIAA-CREF High Yield Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TIHRX 0.61% -6.28% 0.39% 3.87% -- 5.89% 3/31/2006
View Details TIAA-CREF High-Yield Fund (Advisor)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TIHHX 0.46% -6.18% 0.60% 4.10% -- 6.15% 12/04/2015 View Details TIAA-CREF Inflation-Linked Bond Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TIIHX 0.36% -3.53% -1.77% 2.58% 3.76% 4.32% 12/04/2015 View Details TIAA-CREF Inflation-Linked Bond Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TIILX 0.26% -3.52% -1.77% 2.58% 3.76% 4.33% 10/01/2002
View Details TIAA-CREF Inflation-Linked Bond Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TIKPX 0.42% -3.63% -1.91% 2.41% 3.65% 4.24% 9/30/2009
View Details TIAA-CREF Inflation-Linked Bond Fund (Retail) Fixed Income Mutual Fund / Retail Class TCILX 0.57% -3.75% -2.05% 2.29% 3.54% 4.12% 10/01/2002
View Details TIAA-CREF Inflation-Linked Bond Fund (Retirement)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Retirement Class TIKRX 0.51% -3.68% -2.00% 2.32% 3.54% 4.16% 3/31/2006
View Details TIAA-CREF International Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TIEHX 0.58% -7.61% 1.03% 1.09% 1.99% 4.05% 12/04/2015 View Details TIAA-CREF International Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TIIEX 0.49% -7.60% 1.03% 1.09% 1.99% 4.05% 7/01/1999
View Details TIAA-CREF International Equity Fund (Premier)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TREPX 0.64% -7.76% 0.85% 0.95% 1.88% 3.98% 9/30/2009
View Details TIAA-CREF International Equity Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retail Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retail Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retail Class TIERX 0.83% -7.89% 0.67% 0.77% 1.95% 4.02% 3/31/2006
View Details TIAA-CREF International Equity Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retirement Class TRERX 0.74% -7.88% 0.75% 0.85% 1.71% 3.73% 10/01/2002
View Details TIAA-CREF International Equity Index Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TCIHX 0.17% -7.04% 1.20% 1.97% 1.89% 7.27% 12/04/2015 View Details TIAA-CREF International Equity Index Fund (Institutional) Equities Mutual Fund / Institutional Class TCIEX 0.06% -7.03% 1.20% 1.97% 1.89% 7.27% 10/01/2002
View Details TIAA-CREF International Equity Index Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRIPX 0.21% -7.17% 1.04% 1.81% 1.79% 7.19% 9/30/2009
View Details TIAA-CREF International Equity Index Fund (Retirement) Equities Mutual Fund / Retirement Class TRIEX 0.31% -7.30% 0.93% 1.71% 1.64% 6.97% 10/01/2002
View Details TIAA-CREF International Opportunities Fund (Advisor)
 
The fund's Institutional Class began operations on 04/12/2013. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TIOHX 0.74% -5.10% -- -- -- -0.69% 12/04/2015 View Details TIAA-CREF International Opportunities Fund (Institutional) Equities Mutual Fund / Institutional Class TIOIX 0.64% -5.09% -- -- -- -0.69% 4/12/2013
View Details TIAA-CREF International Opportunities Fund (Premier) Equities Mutual Fund / Premier Class TIOPX 0.81% -5.26% -- -- -- -0.84% 4/12/2013
View Details TIAA-CREF International Opportunities Fund (Retail) Equities Mutual Fund / Retail Class TIOSX 0.97% -5.49% -- -- -- -1.05% 4/12/2013
View Details TIAA-CREF International Opportunities Fund (Retirement) Equities Mutual Fund / Retirement Class TIOTX 0.90% -5.34% -- -- -- -0.94% 4/12/2013
View Details TIAA-CREF Large-Cap Growth Fund (Advisor)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TILHX 0.56% 2.88% 14.41% 12.83% -- 7.79% 12/04/2015 View Details TIAA-CREF Large-Cap Growth Fund (Institutional) Equities Mutual Fund / Institutional Class TILGX 0.44% 2.89% 14.41% 12.84% -- 7.79% 3/31/2006
View Details TIAA-CREF Large-Cap Growth Fund (Premier)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TILPX 0.59% 2.78% 14.25% 12.68% -- 7.69% 9/30/2009
View Details TIAA-CREF Large-Cap Growth Fund (Retail) Equities Mutual Fund / Retail Class TIRTX 0.79% 2.57% 13.98% 12.44% -- 7.49% 3/31/2006
View Details TIAA-CREF Large-Cap Growth Fund (Retirement) Equities Mutual Fund / Retirement Class TILRX 0.69% 2.63% 14.11% 12.57% -- 7.52% 3/31/2006
View Details TIAA-CREF Large-Cap Growth Index Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TRIHX 0.17% 1.23% 12.92% 11.60% 7.64% 9.02% 12/04/2015 View Details TIAA-CREF Large-Cap Growth Index Fund (Institutional) Equities Mutual Fund / Institutional Class TILIX 0.06% 1.29% 12.95% 11.61% 7.65% 9.03% 10/01/2002
View Details TIAA-CREF Large-Cap Growth Index Fund (Retirement) Equities Mutual Fund / Retirement Class TRIRX 0.31% 0.98% 12.66% 11.32% 7.38% 8.73% 10/01/2002
View Details TIAA-CREF Large-Cap Value Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TRLHX 0.53% -7.75% 6.88% 7.48% 4.70% 8.52% 12/04/2015 View Details TIAA-CREF Large-Cap Value Fund (Institutional) Equities Mutual Fund / Institutional Class TRLIX 0.42% -7.74% 6.88% 7.48% 4.70% 8.52% 10/01/2002
View Details TIAA-CREF Large-Cap Value Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRCPX 0.57% -7.89% 6.72% 7.31% 4.60% 8.44% 9/30/2009
View Details TIAA-CREF Large-Cap Value Fund (Retail) Equities Mutual Fund / Retail Class TCLCX 0.74% -8.03% 6.52% 7.11% 4.45% 8.26% 10/01/2002
View Details TIAA-CREF Large-Cap Value Fund (Retirement) Equities Mutual Fund / Retirement Class TRLCX 0.67% -7.95% 6.62% 7.21% 4.44% 8.27% 10/01/2002
View Details TIAA-CREF Large-Cap Value Index Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class THCVX 0.17% -5.03% 8.71% 9.52% 5.13% 8.35% 12/04/2015 View Details TIAA-CREF Large-Cap Value Index Fund (Institutional) Equities Mutual Fund / Institutional Class TILVX 0.06% -5.01% 8.71% 9.52% 5.13% 8.35% 10/01/2002
View Details TIAA-CREF Large-Cap Value Index Fund (Retirement) Equities Mutual Fund / Retirement Class TRCVX 0.31% -5.23% 8.47% 9.26% 4.88% 8.06% 10/01/2002
View Details TIAA-CREF Lifecycle 2010 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCLHX 0.57% -2.54% 3.71% 5.14% 4.35% 5.01% 12/04/2015 View Details TIAA-CREF Lifecycle 2010 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCTIX 0.49% -2.33% 3.99% 5.40% 4.59% 5.22% 1/17/2007
View Details TIAA-CREF Lifecycle 2010 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCTPX 0.64% -2.48% 3.84% 5.24% 4.41% 5.07% 9/30/2009
View Details TIAA-CREF Lifecycle 2010 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLEX 0.79% -2.52% 3.72% 5.14% 4.35% 5.01% 10/15/2004
View Details TIAA-CREF Lifecycle 2015 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCNHX 0.58% -2.76% 4.12% 5.40% 4.36% 5.14% 12/04/2015 View Details TIAA-CREF Lifecycle 2015 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCNIX 0.50% -2.56% 4.37% 5.65% 4.59% 5.35% 1/17/2007
View Details TIAA-CREF Lifecycle 2015 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCFPX 0.65% -2.61% 4.23% 5.50% 4.42% 5.19% 9/30/2009
View Details TIAA-CREF Lifecycle 2015 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLIX 0.80% -2.74% 4.13% 5.41% 4.36% 5.14% 10/15/2004
View Details TIAA-CREF Lifecycle 2020 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCWHX 0.59% -3.02% 4.59% 5.71% 4.29% 5.18% 12/04/2015 View Details TIAA-CREF Lifecycle 2020 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCWIX 0.51% -2.76% 4.87% 6.00% 4.53% 5.39% 1/17/2007
View Details TIAA-CREF Lifecycle 2020 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCWPX 0.66% -2.91% 4.70% 5.82% 4.36% 5.25% 9/30/2009
View Details TIAA-CREF Lifecycle 2020 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLTX 0.81% -3.02% 4.59% 5.71% 4.28% 5.18% 10/15/2004
View Details TIAA-CREF Lifecycle 2025 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCQHX 0.61% -3.34% 5.05% 6.02% 4.24% 5.23% 12/04/2015 View Details TIAA-CREF Lifecycle 2025 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCYIX 0.53% -3.16% 5.31% 6.27% 4.47% 5.44% 1/17/2007
View Details TIAA-CREF Lifecycle 2025 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCQPX 0.68% -3.21% 5.14% 6.12% 4.29% 5.28% 9/30/2009
View Details TIAA-CREF Lifecycle 2025 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLFX 0.83% -3.40% 5.03% 6.01% 4.23% 5.22% 10/15/2004
View Details TIAA-CREF Lifecycle 2030 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCHHX 0.62% -3.76% 5.41% 6.24% 4.13% 5.19% 12/04/2015 View Details TIAA-CREF Lifecycle 2030 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCRIX 0.54% -3.53% 5.68% 6.52% 4.37% 5.40% 1/17/2007
View Details TIAA-CREF Lifecycle 2030 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCHPX 0.69% -3.58% 5.55% 6.37% 4.20% 5.25% 9/30/2009
View Details TIAA-CREF Lifecycle 2030 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLNX 0.84% -3.72% 5.42% 6.25% 4.14% 5.19% 10/15/2004
View Details TIAA-CREF Lifecycle 2035 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCYHX 0.63% -4.12% 5.73% 6.42% 4.22% 5.36% 12/04/2015 View Details TIAA-CREF Lifecycle 2035 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCIIX 0.55% -3.92% 6.00% 6.69% 4.45% 5.56% 1/17/2007
View Details TIAA-CREF Lifecycle 2035 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCYPX 0.70% -4.06% 5.83% 6.52% 4.28% 5.42% 9/30/2009
View Details TIAA-CREF Lifecycle 2035 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLRX 0.85% -4.14% 5.72% 6.42% 4.21% 5.35% 10/15/2004
View Details TIAA-CREF Lifecycle 2040 Fund (Advisor)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TCZHX 0.64% -4.57% 5.84% 6.54% 4.39% 5.60% 12/04/2015 View Details TIAA-CREF Lifecycle 2040 Fund (Institutional)
 
The fund's Retirement Class began operations on October 15, 2004. Performance shown prior to the inception of the Institutional Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Institutional Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Institutional Class TCOIX 0.56% -4.32% 6.07% 6.79% 4.62% 5.81% 1/17/2007
View Details TIAA-CREF Lifecycle 2040 Fund (Premier)
 
The fund's Retirement Class began operations on 10/15/2004. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCZPX 0.71% -4.47% 5.94% 6.64% 4.45% 5.65% 9/30/2009
View Details TIAA-CREF Lifecycle 2040 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TCLOX 0.86% -4.62% 5.83% 6.53% 4.38% 5.59% 10/15/2004
View Details TIAA-CREF Lifecycle 2045 Fund (Advisor)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TTFHX 0.65% -4.57% 5.80% 6.50% -- 2.82% 12/04/2015 View Details TIAA-CREF Lifecycle 2045 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TTFIX 0.57% -4.41% 6.06% 6.76% -- 3.07% 11/30/2007
View Details TIAA-CREF Lifecycle 2045 Fund (Premier)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TTFPX 0.72% -4.55% 5.91% 6.60% -- 2.91% 9/30/2009
View Details TIAA-CREF Lifecycle 2045 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TTFRX 0.87% -4.58% 5.80% 6.49% -- 2.82% 11/30/2007
View Details TIAA-CREF Lifecycle 2050 Fund (Advisor)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TFTHX 0.65% -4.70% 5.77% 6.49% -- 2.79% 12/04/2015 View Details TIAA-CREF Lifecycle 2050 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TFTIX 0.57% -4.36% 6.06% 6.77% -- 3.05% 11/30/2007
View Details TIAA-CREF Lifecycle 2050 Fund (Premier)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TCLPX 0.72% -4.50% 5.91% 6.62% -- 2.87% 9/30/2009
View Details TIAA-CREF Lifecycle 2050 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLFRX 0.87% -4.71% 5.77% 6.49% -- 2.79% 11/30/2007
View Details TIAA-CREF Lifecycle 2055 Fund (Advisor)
 
The fund's Retirement Class began operations on 04/29/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TTRHX 0.73% -4.60% 5.81% -- -- 5.38% 12/04/2015 View Details TIAA-CREF Lifecycle 2055 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TTRIX 0.65% -4.44% 6.06% -- -- 5.64% 4/29/2011
View Details TIAA-CREF Lifecycle 2055 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TTRPX 0.80% -4.57% 5.90% -- -- 5.47% 4/29/2011
View Details TIAA-CREF Lifecycle 2055 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TTRLX 0.95% -4.61% 5.80% -- -- 5.38% 4/29/2011
View Details TIAA-CREF Lifecycle 2060 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/26/2014. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLXHX 2.16% -4.66% -- -- -- -3.41% 12/04/2015 View Details TIAA-CREF Lifecycle 2060 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLXNX 2.08% -4.46% -- -- -- -3.21% 9/26/2014
View Details TIAA-CREF Lifecycle 2060 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLXPX 2.26% -4.61% -- -- -- -3.36% 9/26/2014
View Details TIAA-CREF Lifecycle 2060 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLXRX 2.43% -4.67% -- -- -- -3.42% 9/26/2014
View Details TIAA-CREF Lifecycle Index 2010 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLTHX 0.36% -2.57% 4.01% 5.20% -- 6.34% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2010 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLTIX 0.28% -2.35% 4.27% 5.47% -- 6.61% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2010 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLTPX 0.43% -2.50% 4.12% 5.30% -- 6.45% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2010 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLTRX 0.58% -2.59% 4.00% 5.19% -- 6.34% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2015 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLFAX 0.32% -2.63% 4.45% 5.50% -- 6.75% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2015 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLFIX 0.24% -2.49% 4.69% 5.74% -- 7.00% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2015 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLFPX 0.39% -2.64% 4.52% 5.58% -- 6.84% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2015 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLGRX 0.54% -2.73% 4.42% 5.47% -- 6.73% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2020 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLWHX 0.30% -3.07% 4.92% 5.81% -- 7.18% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2020 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLWIX 0.22% -2.80% 5.21% 6.09% -- 7.45% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2020 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLWPX 0.37% -2.94% 5.05% 5.93% -- 7.29% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2020 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLWRX 0.52% -3.02% 4.94% 5.82% -- 7.19% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2025 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLQHX 0.30% -3.30% 5.41% 6.15% -- 7.63% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2025 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLQIX 0.22% -3.11% 5.66% 6.41% -- 7.89% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2025 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLVPX 0.37% -3.25% 5.49% 6.24% -- 7.73% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2025 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLQRX 0.52% -3.33% 5.40% 6.14% -- 7.63% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2030 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLHHX 0.29% -3.64% 5.82% 6.46% -- 8.06% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2030 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLHIX 0.21% -3.39% 6.10% 6.71% -- 8.33% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2030 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLHPX 0.36% -3.54% 5.95% 6.56% -- 8.17% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2030 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLHRX 0.51% -3.61% 5.83% 6.47% -- 8.07% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2035 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLYHX 0.28% -4.03% 6.23% 6.74% -- 8.45% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2035 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLYIX 0.20% -3.79% 6.46% 6.99% -- 8.72% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2035 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLYPX 0.35% -3.94% 6.31% 6.84% -- 8.55% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2035 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLYRX 0.50% -4.06% 6.22% 6.74% -- 8.44% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2040 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLZHX 0.28% -4.45% 6.36% 6.88% -- 8.58% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2040 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLZIX 0.20% -4.28% 6.61% 7.15% -- 8.85% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2040 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLPRX 0.35% -4.43% 6.43% 6.98% -- 8.67% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2040 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLZRX 0.50% -4.50% 6.34% 6.87% -- 8.58% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2045 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLMHX 0.30% -4.63% 6.30% 6.85% -- 8.55% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2045 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLXIX 0.22% -4.34% 6.57% 7.12% -- 8.82% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2045 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLMPX 0.37% -4.49% 6.39% 6.96% -- 8.66% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2045 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLMRX 0.52% -4.61% 6.31% 6.85% -- 8.56% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2050 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLLHX 0.32% -4.59% 6.31% 6.86% -- 8.56% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2050 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLLIX 0.24% -4.29% 6.60% 7.13% -- 8.84% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2050 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLLPX 0.39% -4.44% 6.43% 6.97% -- 8.68% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2050 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLLRX 0.54% -4.56% 6.32% 6.86% -- 8.57% 9/30/2009
View Details TIAA-CREF Lifecycle Index 2055 Fund (Advisor)
 
The fund's Retirement Class began operations on 04/29/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TTIHX 0.49% -4.63% 6.30% -- -- 5.77% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2055 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TTIIX 0.41% -4.32% 6.59% -- -- 6.05% 4/29/2011
View Details TIAA-CREF Lifecycle Index 2055 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TTIPX 0.56% -4.55% 6.40% -- -- 5.88% 4/29/2011
View Details TIAA-CREF Lifecycle Index 2055 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TTIRX 0.72% -4.59% 6.32% -- -- 5.78% 4/29/2011
View Details TIAA-CREF Lifecycle Index 2060 Fund (Advisor)
 
The fund's Retirement Class began operations on 09/26/2014. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TVIHX 1.80% -4.55% -- -- -- -3.39% 12/04/2015 View Details TIAA-CREF Lifecycle Index 2060 Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TVIIX 1.72% -4.35% -- -- -- -3.12% 9/26/2014
View Details TIAA-CREF Lifecycle Index 2060 Fund (Premier) Multi-Asset Mutual Fund / Premier Class TVIPX 2.04% -4.49% -- -- -- -3.25% 9/26/2014
View Details TIAA-CREF Lifecycle Index 2060 Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TVITX 2.19% -4.50% -- -- -- -3.35% 9/26/2014
View Details TIAA-CREF Lifecycle Index Retirement Income Fund (Advisor)
 
The fund's Retirement Class began operations on 09/30/2009. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLIHX 0.53% -2.59% 3.47% 4.85% -- 5.85% 12/04/2015 View Details TIAA-CREF Lifecycle Index Retirement Income Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TRILX 0.45% -2.27% 3.77% 5.13% -- 6.12% 9/30/2009
View Details TIAA-CREF Lifecycle Index Retirement Income Fund (Premier) Multi-Asset Mutual Fund / Premier Class TLIPX 0.60% -2.49% 3.59% 4.98% -- 5.95% 9/30/2009
View Details TIAA-CREF Lifecycle Index Retirement Income Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TRCIX 0.76% -2.56% 3.48% 4.86% -- 5.85% 9/30/2009
View Details TIAA-CREF Lifecycle Retirement Income Fund (Advisor)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Advisor Class TLRHX 0.59% -2.37% 3.28% 4.84% -- 3.75% 12/04/2015 View Details TIAA-CREF Lifecycle Retirement Income Fund (Institutional) Multi-Asset Mutual Fund / Institutional Class TLRIX 0.51% -2.18% 3.51% 5.08% -- 4.00% 11/30/2007
View Details TIAA-CREF Lifecycle Retirement Income Fund (Premier)
 
The fund's Retirement Class began operations on 11/30/2007. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been higher.
Multi-Asset Mutual Fund / Premier Class TPILX 0.66% -2.42% 3.33% 4.91% -- 3.82% 9/30/2009
View Details TIAA-CREF Lifecycle Retirement Income Fund (Retail) Multi-Asset Mutual Fund / Retail Class TLRRX 0.79% -2.42% 3.26% 4.84% -- 3.82% 11/30/2007
View Details TIAA-CREF Lifecycle Retirement Income Fund (Retirement) Multi-Asset Mutual Fund / Retirement Class TLIRX 0.81% -2.43% 3.26% 4.83% -- 3.75% 11/30/2007
View Details TIAA-CREF Lifestyle Aggressive Growth Fund (Advisor)
 
The fund's Retirement Class began operations on 12/09/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Advisor Class TSAHX 0.88% -4.75% 6.66% -- -- 10.33% 12/04/2015 View Details TIAA-CREF Lifestyle Aggressive Growth Fund (Institutional)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Institutional Class TSAIX 0.80% -4.74% 6.66% -- -- 10.34% 12/09/2011
View Details TIAA-CREF Lifestyle Aggressive Growth Fund (Premier)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Premier Class TSAPX 0.95% -4.81% 6.50% -- -- 10.18% 12/09/2011
View Details TIAA-CREF Lifestyle Aggressive Growth Fund (Retail)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retail Class TSALX 1.11% -5.03% 6.31% -- -- 9.98% 12/09/2011
View Details TIAA-CREF Lifestyle Aggressive Growth Fund (Retirement)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retirement Class TSARX 1.04% -4.96% 6.38% -- -- 10.06% 12/09/2011
View Details TIAA-CREF Lifestyle Conservative Fund (Advisor)
 
The fund's Retirement Class began operations on 12/09/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Advisor Class TLSHX 0.70% -1.91% 3.70% -- -- 5.95% 12/04/2015 View Details TIAA-CREF Lifestyle Conservative Fund (Institutional)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Institutional Class TCSIX 0.62% -1.81% 3.74% -- -- 5.97% 12/09/2011
View Details TIAA-CREF Lifestyle Conservative Fund (Premier)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Premier Class TLSPX 0.78% -2.04% 3.58% -- -- 5.79% 12/09/2011
View Details TIAA-CREF Lifestyle Conservative Fund (Retail)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retail Class TSCLX 0.89% -2.16% 3.44% -- -- 5.65% 12/09/2011
View Details TIAA-CREF Lifestyle Conservative Fund (Retirement)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retirement Class TSCTX 0.87% -2.14% 3.49% -- -- 5.71% 12/09/2011
View Details TIAA-CREF Lifestyle Growth Fund (Advisor)
 
The fund's Retirement Class began operations on 12/09/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Advisor Class TSGHX 0.82% -3.90% 5.76% -- -- 9.06% 12/04/2015 View Details TIAA-CREF Lifestyle Growth Fund (Institutional)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Institutional Class TSGGX 0.74% -3.89% 5.76% -- -- 9.06% 12/09/2011
View Details TIAA-CREF Lifestyle Growth Fund (Premier)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Premier Class TSGPX 0.89% -3.97% 5.60% -- -- 8.90% 12/09/2011
View Details TIAA-CREF Lifestyle Growth Fund (Retail)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retail Class TSGLX 1.02% -4.19% 5.43% -- -- 8.72% 12/09/2011
View Details TIAA-CREF Lifestyle Growth Fund (Retirement)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retirement Class TSGRX 0.98% -4.10% 5.50% -- -- 8.78% 12/09/2011
View Details TIAA-CREF Lifestyle Income Fund (Advisor)
 
The fund's Retirement Class began operations on 12/09/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Advisor Class TSIHX 0.76% -0.83% 2.52% -- -- 4.11% 12/04/2015 View Details TIAA-CREF Lifestyle Income Fund (Institutional)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Institutional Class TSITX 0.68% -0.82% 2.52% -- -- 4.11% 12/09/2011
View Details TIAA-CREF Lifestyle Income Fund (Premier)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Premier Class TSIPX 0.83% -1.07% 2.34% -- -- 3.94% 12/09/2011
View Details TIAA-CREF Lifestyle Income Fund (Retail)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retail Class TSILX 0.95% -1.19% 2.23% -- -- 3.80% 12/09/2011
View Details TIAA-CREF Lifestyle Income Fund (Retirement)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retirement Class TLSRX 0.92% -1.18% 2.23% -- -- 3.83% 12/09/2011
View Details TIAA-CREF Lifestyle Moderate Fund (Advisor)
 
The fund's Retirement Class began operations on 12/09/2011. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Retirement Class. Performance has not been restated to reflect the lower expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been higher.The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Advisor Class TSMHX 0.71% -3.03% 4.91% -- -- 7.78% 12/04/2015 View Details TIAA-CREF Lifestyle Moderate Fund (Institutional)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Institutional Class TSIMX 0.63% -3.02% 4.91% -- -- 7.78% 12/09/2011
View Details TIAA-CREF Lifestyle Moderate Fund (Premier)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Premier Class TSMPX 0.78% -3.17% 4.75% -- -- 7.63% 12/09/2011
View Details TIAA-CREF Lifestyle Moderate Fund (Retail)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retail Class TSMLX 0.90% -3.21% 4.64% -- -- 7.48% 12/09/2011
View Details TIAA-CREF Lifestyle Moderate Fund (Retirement)
 
The annual expense charge may include fees for the lifestyle fund and fees for the underlying funds; in general, lifestyle funds indirectly bear their pro rata share of the fees and expenses incurred by the underlying funds.
Multi-Asset Mutual Fund / Retirement Class TSMTX 0.87% -3.18% 4.67% -- -- 7.54% 12/09/2011
View Details TIAA-CREF Managed Allocation Fund (Institutional)
 
The fund's advisor does not receive a management fee for its services to the Managed Allocation Fund, but shareholders indirectly bear their pro rata share of the fees and expenses of the funds in which the Managed Allocation Fund invests. Please see the current prospectus for additional information on expenses.
Multi-Asset Mutual Fund / Institutional Class TIMIX 0.43% -2.85% 5.08% 6.27% -- 4.86% 3/31/2006
View Details TIAA-CREF Managed Allocation Fund (Retail)
 
The fund's advisor does not receive a management fee for its services to the Managed Allocation Fund, but shareholders indirectly bear their pro rata share of the fees and expenses of the funds in which the Managed Allocation Fund invests. Please see the current prospectus for additional information on expenses.
Multi-Asset Mutual Fund / Retail Class TIMRX 0.72% -3.00% 4.81% 6.01% -- 4.70% 3/31/2006
View Details TIAA-CREF Managed Allocation Fund (Retirement)
 
The fund's advisor does not receive a management fee for its services to the Managed Allocation Fund, but shareholders indirectly bear their pro rata share of the fees and expenses of the funds in which the Managed Allocation Fund invests. Please see the current prospectus for additional information on expenses.
Multi-Asset Mutual Fund / Retirement Class TITRX 0.68% -3.09% 4.80% 5.99% -- 4.59% 3/31/2006
View Details TIAA-CREF Mid-Cap Growth Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TCMHX 0.57% -8.07% 7.67% 7.78% 5.97% 10.57% 12/04/2015 View Details TIAA-CREF Mid-Cap Growth Fund (Institutional) Equities Mutual Fund / Institutional Class TRPWX 0.47% -8.01% 7.69% 7.79% 5.98% 10.58% 10/01/2002
View Details TIAA-CREF Mid-Cap Growth Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRGPX 0.62% -8.19% 7.52% 7.63% 5.87% 10.49% 9/30/2009
View Details TIAA-CREF Mid-Cap Growth Fund (Retail) Equities Mutual Fund / Retail Class TCMGX 0.79% -8.35% 7.32% 7.44% 5.69% 10.27% 10/01/2002
View Details TIAA-CREF Mid-Cap Growth Fund (Retirement) Equities Mutual Fund / Retirement Class TRGMX 0.72% -8.30% 7.40% 7.52% 5.71% 10.28% 10/01/2002
View Details TIAA-CREF Mid-Cap Value Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TRVHX 0.51% -9.87% 7.47% 8.07% 6.16% 11.08% 12/04/2015 View Details TIAA-CREF Mid-Cap Value Fund (Institutional) Equities Mutual Fund / Institutional Class TIMVX 0.41% -9.81% 7.49% 8.08% 6.16% 11.08% 10/01/2002
View Details TIAA-CREF Mid-Cap Value Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRVPX 0.56% -9.93% 7.32% 7.92% 6.06% 11.00% 9/30/2009
View Details TIAA-CREF Mid-Cap Value Fund (Retail) Equities Mutual Fund / Retail Class TCMVX 0.72% -10.14% 7.14% 7.74% 5.91% 10.80% 10/01/2002
View Details TIAA-CREF Mid-Cap Value Fund (Retirement) Equities Mutual Fund / Retirement Class TRVRX 0.66% -10.07% 7.19% 7.80% 5.90% 10.78% 10/01/2002
View Details TIAA-CREF Money Market Fund (Advisor)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. If the expense differential had been reflected, performance for these periods would have been lower. Money market investments are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. Although these investments seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in such mutual funds or annuity accounts. The current yield more closely reflects current earnings than does the total return.
Money Market Mutual Fund / Advisor Class TMHXX 0.24% 0.02% 0.01% 0.02% 1.33% 2.05% 12/04/2015 View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in a money market mutual fund is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. Money market mutual funds will attempt to maintain a stable net asset value of $1.00 per share, but it is possible to lose money by investing in these funds.

TIAA-CREF Money Market Fund (Institutional)
 
Money market investments are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. Although these investments seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in such mutual funds or annuity accounts. The current yield more closely reflects current earnings than does the total return.
Money Market Mutual Fund / Institutional Class TCIXX 0.14% 0.04% 0.02% 0.03% 1.33% 2.05% 7/01/1999
View Details 7-day current annualized yield 0.26% as of 2/11/2016 7-day effective annualized yield 0.26% as of 2/11/2016

An investment in a money market mutual fund is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. Money market mutual funds will attempt to maintain a stable net asset value of $1.00 per share, but it is possible to lose money by investing in these funds.

TIAA-CREF Money Market Fund (Premier)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower. Money market investments are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. Although these investments seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in such mutual funds or annuity accounts. The current yield more closely reflects current earnings than does the total return.
Money Market Mutual Fund / Premier Class TPPXX 0.29% 0.00% 0.00% 0.00% 1.30% 2.04% 9/30/2009
View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in a money market mutual fund is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. Money market mutual funds will attempt to maintain a stable net asset value of $1.00 per share, but it is possible to lose money by investing in these funds.

TIAA-CREF Money Market Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower. Money market investments are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. Although these investments seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in such mutual funds or annuity accounts. The current yield more closely reflects current earnings than does the total return.
Money Market Mutual Fund / Retail Class TIRXX 0.48% 0.00% 0.00% 0.00% 1.27% 2.02% 3/31/2006
View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in a money market mutual fund is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. Money market mutual funds will attempt to maintain a stable net asset value of $1.00 per share, but it is possible to lose money by investing in these funds.

TIAA-CREF Money Market Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower. Money market investments are neither insured nor guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. Although these investments seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in such mutual funds or annuity accounts. The current yield more closely reflects current earnings than does the total return.
Money Market Mutual Fund / Retirement Class TIEXX 0.39% 0.00% 0.00% 0.00% 1.22% 1.99% 3/31/2006
View Details 7-day current annualized yield 0.00% as of 2/11/2016 7-day effective annualized yield 0.00% as of 2/11/2016

An investment in a money market mutual fund is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. Money market mutual funds will attempt to maintain a stable net asset value of $1.00 per share, but it is possible to lose money by investing in these funds.

TIAA-CREF Real Estate Securities Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TIRHX 0.61% -5.52% 8.30% 10.07% 5.77% 10.64% 12/04/2015 View Details TIAA-CREF Real Estate Securities Fund (Institutional) Equities Mutual Fund / Institutional Class TIREX 0.52% -5.50% 8.31% 10.07% 5.77% 10.64% 10/01/2002
View Details TIAA-CREF Real Estate Securities Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRRPX 0.67% -5.64% 8.17% 9.91% 5.68% 10.57% 9/30/2009
View Details TIAA-CREF Real Estate Securities Fund (Retail) Equities Mutual Fund / Retail Class TCREX 0.83% -5.83% 7.96% 9.71% 5.54% 10.40% 10/01/2002
View Details TIAA-CREF Real Estate Securities Fund (Retirement) Equities Mutual Fund / Retirement Class TRRSX 0.77% -5.75% 8.06% 9.79% 5.54% 10.42% 10/01/2002
View Details TIAA-CREF S&P 500 Index Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TISAX 0.16% -0.68% 11.22% 10.83% 6.43% 8.51% 12/04/2015 View Details TIAA-CREF S&P 500 Index Fund (Institutional) Equities Mutual Fund / Institutional Class TISPX 0.06% -0.67% 11.23% 10.83% 6.43% 8.51% 10/01/2002
View Details TIAA-CREF S&P 500 Index Fund (Retirement) Equities Mutual Fund / Retirement Class TRSPX 0.31% -0.96% 10.95% 10.55% 6.16% 8.21% 10/01/2002
View Details TIAA-CREF Short-Term Bond Fund (Advisor)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TCTHX 0.37% 0.70% 0.88% 1.72% -- 3.16% 12/04/2015 View Details TIAA-CREF Short-Term Bond Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TISIX 0.27% 0.72% 0.89% 1.72% -- 3.16% 3/31/2006
View Details TIAA-CREF Short-Term Bond Fund (Premier)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Premier Class TSTPX 0.42% 0.57% 0.74% 1.57% -- 3.07% 9/30/2009
View Details TIAA-CREF Short-Term Bond Fund (Retail) Fixed Income Mutual Fund / Retail Class TCTRX 0.58% 0.42% 0.58% 1.41% -- 2.95% 3/31/2006
View Details TIAA-CREF Short-Term Bond Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TISRX 0.52% 0.57% 0.67% 1.49% -- 2.93% 3/31/2006
View Details TIAA-CREF Short-Term Bond Index Fund (Advisor)
 
The fund's Institutional Class began operations on 08/07/2015. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TTBHX 0.44% -- -- -- -- 0.28% 12/04/2015 View Details TIAA-CREF Short-Term Bond Index Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TNSHX 0.34% -- -- -- -- 0.39% 8/07/2015
View Details TIAA-CREF Short-Term Bond Index Fund (Premier) Fixed Income Mutual Fund / Premier Class TPSHX 0.49% -- -- -- -- 0.32% 8/07/2015
View Details TIAA-CREF Short-Term Bond Index Fund (Retail) Fixed Income Mutual Fund / Retail Class TRSHX 0.69% -- -- -- -- 0.22% 8/07/2015
View Details TIAA-CREF Short-Term Bond Index Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TESHX 0.59% -- -- -- -- 0.27% 8/07/2015
View Details TIAA-CREF Small-Cap Blend Index Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TRHBX 0.24% -9.64% 6.37% 7.46% 5.02% 9.53% 12/04/2015 View Details TIAA-CREF Small-Cap Blend Index Fund (Institutional) Equities Mutual Fund / Institutional Class TISBX 0.13% -9.63% 6.37% 7.47% 5.02% 9.53% 10/01/2002
View Details TIAA-CREF Small-Cap Blend Index Fund (Retirement) Equities Mutual Fund / Retirement Class TRBIX 0.38% -9.90% 6.10% 7.20% 4.77% 9.26% 10/01/2002
View Details TIAA-CREF Small-Cap Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TSCHX 0.60% -6.02% 8.85% 8.48% 5.25% 9.84% 12/04/2015 View Details TIAA-CREF Small-Cap Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TISEX 0.49% -5.95% 8.88% 8.50% 5.26% 9.85% 10/01/2002
View Details TIAA-CREF Small-Cap Equity Fund (Premier)
 
The fund's Institutional Class began operations on 10/01/2002. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TSRPX 0.64% -6.11% 8.69% 8.33% 5.15% 9.77% 9/30/2009
View Details TIAA-CREF Small-Cap Equity Fund (Retail) Equities Mutual Fund / Retail Class TCSEX 0.83% -6.23% 8.51% 8.13% 4.98% 9.59% 10/01/2002
View Details TIAA-CREF Small-Cap Equity Fund (Retirement) Equities Mutual Fund / Retirement Class TRSEX 0.74% -6.19% 8.59% 8.22% 5.00% 9.56% 10/01/2002
View Details TIAA-CREF Social Choice Bond Fund (Advisor)
 
The fund's Institutional Class began operations on 09/21/2012. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TSBHX 0.50% -0.13% 3.46% -- -- 3.29% 12/04/2015 View Details TIAA-CREF Social Choice Bond Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TSBIX 0.45% -0.10% 3.47% -- -- 3.30% 9/21/2012
View Details TIAA-CREF Social Choice Bond Fund (Premier) Fixed Income Mutual Fund / Premier Class TSBPX 0.61% -0.25% 3.31% -- -- 3.14% 9/21/2012
View Details TIAA-CREF Social Choice Bond Fund (Retail) Fixed Income Mutual Fund / Retail Class TSBRX 0.73% -0.29% 3.15% -- -- 2.98% 9/21/2012
View Details TIAA-CREF Social Choice Bond Fund (Retirement) Fixed Income Mutual Fund / Retirement Class TSBBX 0.70% -0.35% 3.21% -- -- 3.04% 9/21/2012
View Details TIAA-CREF Social Choice Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TICHX 0.28% -4.76% 8.96% 9.09% 5.87% 4.16% 12/04/2015 View Details TIAA-CREF Social Choice Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TISCX 0.18% -4.68% 8.99% 9.11% 5.87% 4.16% 7/01/1999
View Details TIAA-CREF Social Choice Equity Fund (Premier)
 
The fund's Institutional Class began operations on 07/01/1999. Performance shown for the Since Inception period and prior to the inception of the Premier Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Premier Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Premier Class TRPSX 0.33% -4.84% 8.82% 8.94% 5.76% 4.09% 9/30/2009
View Details TIAA-CREF Social Choice Equity Fund (Retail)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retail Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retail Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retail Class TICRX 0.46% -4.93% 8.66% 8.80% 5.66% 4.03% 3/31/2006
View Details TIAA-CREF Social Choice Equity Fund (Retirement)
 
The fund's Institutional Class began operations on July 1, 1999. Performance shown prior to the inception of the Retirement Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Retirement Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Retirement Class TRSCX 0.43% -4.95% 8.69% 8.82% 5.61% 3.91% 10/01/2002
View Details TIAA-CREF Social Choice International Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 08/07/2015. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TSOHX 1.15% -- -- -- -- -11.92% 12/04/2015 View Details TIAA-CREF Social Choice International Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TSONX 1.04% -- -- -- -- -12.01% 8/07/2015
View Details TIAA-CREF Social Choice International Equity Fund (Premier) Equities Mutual Fund / Premier Class TSOPX 1.19% -- -- -- -- -12.07% 8/07/2015
View Details TIAA-CREF Social Choice International Equity Fund (Retail) Equities Mutual Fund / Retail Class TSORX 1.43% -- -- -- -- -12.15% 8/07/2015
View Details TIAA-CREF Social Choice International Equity Fund (Retirement) Equities Mutual Fund / Retirement Class TSOEX 1.29% -- -- -- -- -12.08% 8/07/2015
View Details TIAA-CREF Social Choice Low Carbon Equity Fund (Advisor)
 
The fund's Institutional Class began operations on 08/07/2015. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Equities Mutual Fund / Advisor Class TCCHX 0.70% -- -- -- -- -7.82% 12/04/2015 View Details TIAA-CREF Social Choice Low Carbon Equity Fund (Institutional) Equities Mutual Fund / Institutional Class TNWCX 0.59% -- -- -- -- -7.78% 8/07/2015
View Details TIAA-CREF Social Choice Low Carbon Equity Fund (Premier) Equities Mutual Fund / Premier Class TPWCX 0.74% -- -- -- -- -7.83% 8/07/2015
View Details TIAA-CREF Social Choice Low Carbon Equity Fund (Retail) Equities Mutual Fund / Retail Class TLWCX 0.98% -- -- -- -- -8.00% 8/07/2015
View Details TIAA-CREF Social Choice Low Carbon Equity Fund (Retirement) Equities Mutual Fund / Retirement Class TEWCX 0.84% -- -- -- -- -7.95% 8/07/2015
View Details TIAA-CREF Tax-Exempt Bond Fund (Advisor)
 
The fund's Institutional Class began operations on 03/31/2006. Performance shown for the Since Inception period and prior to the inception of the Advisor Class is based on the performance of the fund's Institutional Class. Performance has not been restated to reflect the higher expenses of the Advisor Class. If the expense differential had been reflected, performance for these periods would have been lower.
Fixed Income Mutual Fund / Advisor Class TIXHX 0.42% 1.35% 2.02% 4.85% -- 4.44% 12/04/2015 View Details TIAA-CREF Tax-Exempt Bond Fund (Institutional) Fixed Income Mutual Fund / Institutional Class TITIX 0.35% 1.38% 2.03% 4.86% -- 4.44% 3/31/2006
View Details TIAA-CREF Tax-Exempt Bond Fund (Retail) Fixed Income Mutual Fund / Retail Class TIXRX 0.63% 1.10% 1.74% 4.55% -- 4.25% 3/31/2006
View Details ============================================================================================================================== Calamos Growth & Income Portfolio
 
Effective July 30, 2012, the Calamos Growth & Income Portfolio is closed to new investors.
Balanced 19.07 -0.20 -9.59 02/11/2016 -1.55 4.39 4.01 -- 4.40 02/05/2008 05/19/1999 View Details ClearBridge Variable Aggressive Growth - Class I
 
Formerly Legg Mason ClearBridge Variable Aggressive Growth Portfolio - Class 1
U.S. Equity 28.64 -0.37 -14.06 02/11/2016 -9.14 13.58 12.91 -- 8.98 02/05/2008 11/01/1999 View Details ClearBridge Variable Small Cap Growth Portfolio - Class I
 
Formerly Legg Mason ClearBridge Variable Small Cap Growth Portfolio - Class 1
U.S. Equity 22.33 -0.25 -22.01 02/11/2016 -11.98 5.63 8.45 -- 7.28 02/05/2008 11/08/1999 View Details Credit Suisse Trust - Commodity Return Strategy Portfolio Sector Specific 14.73 0.04 -5.18 02/11/2016 -24.07 -- -- -- -19.63 11/01/2013 02/28/2006 View Details Delaware VIP Diversified Income Series - Std Class Fixed Income 15.18 0.01 1.48 02/11/2016 -2.69 0.76 2.77 -- 4.78 02/05/2008 05/16/2003 View Details Delaware VIP International Value Equity Series - Std Class International 11.74 -0.26 -12.33 02/11/2016 -6.09 -0.35 -0.69 -- -0.60 02/05/2008 10/29/1992 View Details Delaware VIP Small Cap Value Series - Std Class U.S. Equity 43.63 -0.71 -12.25 02/11/2016 -8.68 4.71 6.02 -- 6.87 02/05/2008 12/27/1993 View Details DFA VA Global Bond Portfolio Fixed Income 26.58 0.02 1.52 02/11/2016 0.39 1.31 -- -- 1.53 05/01/2012 01/12/1995 View Details DFA VA Global Moderate Allocation Portfolio Balanced 23.70 -0.19 -7.42 02/11/2016 -4.97 -- -- -- -0.65 11/01/2013 04/08/2013 View Details DFA VA International Small Portfolio International 28.64 -0.38 -12.08 02/11/2016 -0.67 3.77 -- -- 5.38 05/01/2012 10/03/1995 View Details DFA VA International Value Portfolio International 23.46 -0.45 -15.98 02/11/2016 -13.72 -3.11 -- -- 0.84 05/01/2012 10/03/1995 View Details DFA VA Short-Term Fixed Portfolio Fixed Income 24.77 0.00 0.23 02/11/2016 -0.39 -0.33 -- -- -0.27 05/01/2012 10/03/1995 View Details DFA VA US Large Value Portfolio U.S. Equity 34.59 -0.48 -12.55 02/11/2016 -6.00 8.19 -- -- 10.85 05/01/2012 01/12/1995 View Details DFA VA US Targeted Value Portfolio U.S. Equity 32.68 -0.55 -13.44 02/11/2016 -8.27 6.75 -- -- 9.47 05/01/2012 10/03/1995 View Details Franklin Income VIP Fund
 
Formerly Franklin Income Securities Fund-Class 1
Balanced 21.74 -0.31 -7.65 02/11/2016 -10.16 0.73 3.36 -- 3.58 02/05/2008 01/24/1989 View Details Franklin Mutual Shares VIP Fund
 
Formerly Mutual Shares Securities Fund -Class 1
U.S. Equity 23.04 -0.37 -10.84 02/11/2016 -7.33 5.39 6.31 -- 3.42 02/05/2008 11/08/1996 View Details Franklin Small-Mid Cap Growth VIP Fund
 
Formerly Franklin Small-Mid Cap Growth Securities Fund-Class 1
U.S. Equity 30.41 -0.29 -16.77 02/11/2016 -10.26 7.00 6.16 -- 6.20 02/05/2008 11/01/1995 View Details Janus Aspen Forty Portfolio - Inst. Shares U.S. Equity 53.92 -0.33 -15.24 02/11/2016 2.69 12.19 10.46 -- 5.93 02/05/2008 05/01/1997 View Details Janus Aspen Overseas Portfolio - Inst. Shares
 
Effective February 18, 2013, the Janus Aspen Overseas - Inst. Shares and the MFS Growth - Initial Class are closed to new investors.
International 38.42 -0.91 -19.50 02/11/2016 -18.04 -8.26 -9.31 -- -4.39 02/05/2008 05/02/1994 View Details Janus Aspen Perkins Mid-Cap Value Portfolio - Inst. Shares U.S. Equity 23.23 -0.38 -10.06 02/11/2016 -6.47 5.10 5.20 -- 5.16 02/05/2008 05/01/2003 View Details John Hancock Emerging Markets Value Trust International 18.47 -0.32 -9.59 02/11/2016 -23.86 -- -- -- -20.50 12/12/2014 05/01/2007 View Details Matson Money Fixed Income VI Portfolio Fixed Income 24.99 0.02 1.18 02/11/2016 -1.06 -- -- -- -0.21 02/18/2014 02/18/2014 View Details Matson Money International Equity VI Portfolio International 19.11 -0.31 -13.42 02/11/2016 -10.55 -- -- -- -9.64 02/18/2014 02/18/2014 View Details Matson Money U.S. Equity VI Portfolio U.S. Equity 22.23 -0.30 -12.57 02/11/2016 -6.95 -- -- -- -2.61 02/18/2014 02/18/2014 View Details MFS Global Equity Series - Initial Class International 20.31 -0.28 -9.14 02/11/2016 -4.80 5.20 7.34 -- 5.53 02/05/2008 05/03/1999 View Details MFS Growth Series - Initial Class
 
Effective February 18, 2013, the MFS Growth - Initial Class are closed to new investors.
U.S. Equity 38.96 -0.41 -12.31 02/11/2016 3.41 12.55 11.39 -- 8.26 02/05/2008 07/24/1995 View Details MFS Massachusetts Investors Growth Stock Portfolio U.S. Equity 17.36 -0.22 -8.85 02/11/2016 -- -- -- -- -- 03/27/2015 05/06/1998 View Details MFS Utilities Series - Initial Class Sector Specific 40.47 -1.13 -7.38 02/11/2016 -15.02 2.74 5.80 -- 4.01 02/05/2008 01/03/1995 View Details Neuberger Berman AMT Large Cap Value Portfolio - Class I U.S. Equity 19.81 -0.24 -11.28 02/11/2016 -12.69 3.32 3.00 -- 1.40 02/05/2008 03/22/1994 View Details Neuberger Berman AMT Mid Cap Intrinsic Value Portfolio - Class I U.S. Equity 20.93 -0.47 -12.55 02/11/2016 -12.46 7.01 6.32 -- 5.29 02/05/2008 08/22/2001 View Details PIMCO VIT All Asset Portfolio - Inst. Class Balanced 14.02 -0.14 -4.20 02/11/2016 -11.10 -4.05 0.61 -- 2.02 02/05/2008 01/31/2006 View Details PIMCO VIT Commodity Real Return Strategy Portfolio - Inst. Class Sector Specific 13.97 -0.04 -7.18 02/11/2016 -25.82 -- -- -- -20.79 11/01/2013 04/30/2012 View Details PIMCO VIT Emerging Markets Bond Portfolio - Inst. Class Fixed Income 23.59 -0.12 -2.47 02/11/2016 -3.39 -- -- -- -1.96 11/01/2013 04/30/2012 View Details PIMCO VIT Global Bond Portfolio - Unhedged - Inst. Class Fixed Income 17.00 0.03 2.65 02/11/2016 -4.51 -3.26 0.25 -- 2.79 02/05/2008 01/31/2006 View Details PIMCO VIT Real Return Portfolio - Inst. Class Fixed Income 16.11 -0.03 0.46 02/11/2016 -5.33 -2.97 1.82 -- 2.62 02/05/2008 04/10/2000 View Details Prudential Series Fund - Jennison 20/20 Focus Portfolio - Class II U.S. Equity 21.97 -0.22 -16.19 02/11/2016 -0.88 8.63 6.70 -- 5.64 02/05/2008 02/15/2000 View Details Prudential Series Fund - Natural Resources Portfolio - Class II Sector Specific 28.94 -0.27 -12.54 02/11/2016 -29.64 -17.63 -14.60 -- -8.17 02/05/2008 04/28/2005 View Details Prudential Series Fund - Value Portfolio - Class II U.S. Equity 28.95 -0.55 -14.40 02/11/2016 -11.34 4.58 4.63 -- 2.97 02/05/2008 05/14/2001 View Details PVC Equity Income Account - Class I U.S. Equity 25.47 -0.40 -8.60 02/11/2016 -5.23 7.37 8.62 -- 5.41 02/05/2008 04/28/1998 View Details PVC Mid Cap Account - Class I
 
Effective October 23, 2009, the PVC Mid Cap Stock Account was merged into the PVC Mid Cap Blend Account. The performance shown reflects the performance of the PVC Mid Cap Blend Account from its inception. Formerly PVC Mid Cap Blend Account - Class I. Closed to new investors effective August 15, 2013.
U.S. Equity 27.86 -0.29 -14.13 02/11/2016 -4.25 9.66 11.86 -- 14.14 10/23/2009 12/18/1987 View Details Royce Capital Fund Micro Cap Portfolio - Inv. Class
 
Closed to new investors effective August 15, 2013
U.S. Equity 13.85 -0.09 -13.76 02/11/2016 -14.92 -3.36 -2.37 -- 0.98 02/05/2008 12/27/1996 View Details Royce Capital Fund Small Cap Portfolio - Inv. Class U.S. Equity 14.80 -0.15 -6.11 02/11/2016 -9.13 4.03 4.96 -- 5.53 02/05/2008 12/27/1996 View Details T. Rowe Price Health Sciences Portfolio I Sector Specific 22.90 -0.40 -18.94 02/11/2016 -7.15 -- -- -- -2.16 12/12/2014 12/29/2000 View Details T. Rowe Price Limited-Term Bond Portfolio Fixed Income 25.13 0.00 0.27 02/11/2016 -0.48 -0.18 -- -- 0.13 03/05/2012 05/13/1994 View Details Templeton Developing Markets VIP Fund
 
Formerly Templeton Developing Markets Securities Fund-Class 1
International 9.57 -0.15 -8.70 02/11/2016 -24.56 -13.02 -7.45 -- -4.14 02/05/2008 03/04/1996 View Details TIAA-CREF Life Balanced Balanced 24.76 -0.16 -6.09 02/11/2016 -2.49 -- -- -- 1.21 02/14/2014 01/31/2014 View Details TIAA-CREF Life Bond Fixed Income 38.16 0.00 1.11 02/11/2016 -1.30 1.30 3.00 -- 3.24 02/05/2008 07/08/2003 View Details TIAA-CREF Life Growth & Income U.S. Equity 44.96 -0.55 -13.03 02/11/2016 -1.16 10.57 10.42 -- 7.15 02/05/2008 04/03/2000 View Details TIAA-CREF Life Growth Equity U.S. Equity 27.59 -0.15 -14.68 02/11/2016 2.60 13.88 12.31 -- 8.09 02/05/2008 04/03/2000 View Details TIAA-CREF Life International Equity International 23.94 -0.38 -11.82 02/11/2016 -8.20 0.51 0.46 -- -0.86 02/05/2008 04/03/2000 View Details TIAA-CREF Life Large Cap Value U.S. Equity 60.09 -1.07 -13.46 02/11/2016 -8.53 6.09 6.73 -- 4.32 02/05/2008 10/28/2002 View Details TIAA-CREF Life Money Market Money Market 11.19 0.00 -0.56 12/11/2015 -0.60 -0.59 -0.58 -- -0.19 02/05/2008 07/08/2003 View Details TIAA-CREF Life Real Estate Real Estate 80.01 -1.23 -12.23 02/11/2016 -6.50 7.68 9.41 -- 6.53 02/05/2008 10/28/2002 View Details TIAA-CREF Life Small Cap Equity U.S. Equity 71.34 -0.84 -16.41 02/11/2016 -6.80 8.03 7.67 -- 6.91 02/05/2008 10/28/2002 View Details TIAA-CREF Life Social Choice U.S. Equity 41.71 -0.48 -11.06 02/11/2016 -5.48 8.08 8.27 -- 6.01 02/05/2008 04/03/2000 View Details TIAA-CREF Life Stock Index U.S. Equity 52.15 -0.65 -11.31 02/11/2016 -3.09 9.82 9.68 -- 6.41 02/05/2008 01/04/1999 View Details Vanguard VIF Capital Growth Portfolio U.S. Equity 22.44 -0.24 -12.71 02/11/2016 -2.81 -- -- -- -3.21 12/12/2014 12/03/2002 View Details Vanguard VIF Equity Index U.S. Equity 23.21 -0.29 -10.35 02/11/2016 -1.35 -- -- -- -1.44 12/12/2014 04/29/1991 View Details Vanguard VIF High Yield Bond Portfolio Fixed Income 23.84 -0.23 -4.28 02/11/2016 -3.79 -- -- -- -1.28 12/12/2014 06/03/1996 View Details Vanguard VIF Mid-Cap Index Portfolio U.S. Equity 21.93 -0.33 -13.50 02/11/2016 -7.48 -- -- -- -5.43 12/12/2014 01/08/1999 View Details Vanguard VIF REIT Index Portfolio Real Estate 23.14 -0.32 -10.37 02/11/2016 -7.95 -- -- -- -0.21 12/12/2014 01/08/1999 View Details Vanguard VIF Small Company Growth Portfolio U.S. Equity 20.78 -0.22 -17.66 02/11/2016 -10.70 -- -- -- -8.44 12/12/2014 06/03/1996 View Details Vanguard VIF Total Bond Market Index Portfolio Fixed Income 25.44 0.02 2.22 02/11/2016 -1.12 -- -- -- 0.74 12/12/2014 04/29/1991 View Details VY Clarion Global Real Estate Portfolio - Class I
 
Formerly ING Clarion Global Real Estate Portfolio - Class I
Real Estate 33.72 -0.41 -9.92 02/11/2016 -10.40 2.54 4.99 -- 6.42 05/01/2010 01/03/2006 View Details Wanger International International 46.31 -0.57 -10.78 02/11/2016 -6.78 1.49 2.26 -- 2.85 02/05/2008 05/03/1995 View Details Wanger Select U.S. Equity 33.66 -0.32 -13.47 02/11/2016 -6.34 5.86 3.67 -- 4.27 02/05/2008 02/01/1999 View Details Wanger USA U.S. Equity 48.34 -0.32 -18.04 02/11/2016 -8.35 5.22 7.10 -- 6.21 02/05/2008 05/03/1995 View Details Western Asset Variable Global High Yield Bond Portfolio - Class I
 
Formerly Legg Mason Western Asset Variable GL High Yield Bond Portfolio - Class I
Fixed Income 12.96 -0.15 -5.73 02/11/2016 -7.39 -2.18 2.08 -- 4.39 02/05/2008 05/01/1998 View Details ============================================================================================================= Calamos Growth & Income Portfolio
 
Effective July 30, 2012, the Calamos Growth & Income Portfolio is closed to new investors.
Balanced 20.11 -0.21 -9.62 2/11/2016 -1.90 4.03 3.65 3.39 5.51 03/09/2006 05/19/1999 View Details ClearBridge Variable Aggressive Growth - Class I
 
Formerly Legg Mason ClearBridge Variable Aggressive Growth Portfolio - Class 1
U.S. Equity 16.28 -0.21 -14.10 2/11/2016 -9.46 13.18 12.51 6.35 6.43 04/26/2007 11/01/1999 View Details ClearBridge Variable Small Cap Growth Portfolio - Class I
 
Formerly Legg Mason ClearBridge Variable Small Cap Growth Portfolio - Class 1
U.S. Equity 22.54 -0.25 -22.04 2/11/2016 -12.29 5.26 8.07 5.55 6.35 03/09/2006 11/08/1999 View Details Credit Suisse Trust - Commodity Return Strategy Portfolio Sector Specific 14.62 0.04 -5.22 2/11/2016 -24.33 -19.49 -15.08 -- -6.88 11/01/2013 02/28/2006 View Details Delaware VIP Diversified Income Series - Std Class Fixed Income 15.00 0.01 1.44 2/11/2016 -3.03 0.41 2.41 5.00 4.80 03/09/2006 05/16/2003 View Details Delaware VIP International Value Equity Series - Std Class International 18.52 -0.41 -12.37 2/11/2016 -6.42 -0.70 -1.03 0.11 5.17 03/09/2006 10/29/1992 View Details Delaware VIP Small Cap Value Series - Std Class U.S. Equity 45.36 -0.74 -12.28 2/11/2016 -9.00 4.35 5.65 4.55 8.94 03/09/2006 12/27/1993 View Details DFA VA Global Bond Portfolio Fixed Income 26.23 0.02 1.48 2/11/2016 0.04 0.96 1.89 2.85 4.22 05/01/2012 01/12/1995 View Details DFA VA Global Moderate Allocation Portfolio Balanced 23.52 -0.19 -7.46 2/11/2016 -5.30 -- -- -- 2.09 11/01/2013 04/08/2013 View Details DFA VA International Small Portfolio International 28.26 -0.38 -12.11 2/11/2016 -1.02 3.41 2.62 3.10 5.20 05/01/2012 10/03/1995 View Details DFA VA International Value Portfolio International 23.16 -0.44 -16.02 2/11/2016 -14.02 -3.45 -2.94 -0.12 4.46 05/01/2012 10/03/1995 View Details DFA VA Short-Term Fixed Portfolio Fixed Income 24.44 0.00 0.19 2/11/2016 -0.74 -0.68 -0.53 0.86 2.00 05/01/2012 10/03/1995 View Details DFA VA US Large Value Portfolio U.S. Equity 34.14 -0.47 -12.58 2/11/2016 -6.33 7.81 8.48 4.44 7.64 05/01/2012 01/12/1995 View Details DFA VA US Targeted Value Portfolio U.S. Equity 32.25 -0.54 -13.48 2/11/2016 -8.59 6.37 7.59 3.13 8.94 05/01/2012 10/03/1995 View Details Franklin Income VIP Fund
 
Formerly Franklin Income Securities Fund-Class 1
Balanced 22.53 -0.32 -7.68 2/11/2016 -10.47 0.38 3.00 3.94 7.31 03/09/2006 01/24/1989 View Details Franklin Mutual Shares VIP Fund
 
Formerly Mutual Shares Securities Fund -Class 1
U.S. Equity 24.28 -0.39 -10.88 2/11/2016 -7.66 5.02 5.94 3.32 5.97 03/09/2006 11/08/1996 View Details Franklin Small-Mid Cap Growth VIP Fund
 
Formerly Franklin Small-Mid Cap Growth Securities Fund-Class 1
U.S. Equity 31.14 -0.29 -16.80 2/11/2016 -10.58 6.62 5.79 4.47 6.81 03/09/2006 11/01/1995 View Details Janus Aspen Forty Portfolio - Inst. Shares U.S. Equity 51.66 -0.32 -15.27 2/11/2016 2.33 11.80 10.08 6.99 9.43 03/09/2006 05/01/1997 View Details Janus Aspen Overseas Portfolio - Inst. Shares
 
Effective February 18, 2013, the Janus Aspen Overseas - Inst. Shares and the MFS Growth - Initial Class are closed to new investors.
International 37.50 -0.89 -19.53 2/11/2016 -18.32 -8.58 -9.63 0.39 7.00 03/09/2006 05/02/1994 View Details Janus Aspen Perkins Mid-Cap Value Portfolio - Inst. Shares U.S. Equity 24.85 -0.41 -10.09 2/11/2016 -6.80 4.74 4.83 5.12 8.85 03/09/2006 05/01/2003 View Details John Hancock Emerging Markets Value Trust International 18.40 -0.32 -9.63 2/11/2016 -24.12 -12.58 -9.79 -- -2.59 12/12/2014 05/01/2007 View Details Matson Money Fixed Income VI Portfolio Fixed Income 24.82 0.02 1.14 2/11/2016 -1.40 -- -- -- -0.56 02/18/2014 02/18/2014 View Details Matson Money International Equity VI Portfolio International 18.98 -0.31 -13.46 2/11/2016 -10.87 -- -- -- -9.96 02/18/2014 02/18/2014 View Details Matson Money U.S. Equity VI Portfolio U.S. Equity 22.08 -0.30 -12.60 2/11/2016 -7.28 -- -- -- -2.95 02/18/2014 02/18/2014 View Details MFS Global Equity Series - Initial Class International 21.14 -0.29 -9.18 2/11/2016 -5.13 4.83 6.96 5.53 5.63 03/09/2006 05/03/1999 View Details MFS Growth Series - Initial Class
 
Effective February 18, 2013, the Janus Aspen Overseas - Inst. Shares and the MFS Growth - Initial Class are closed to new investors.
U.S. Equity 37.13 -0.39 -12.34 2/11/2016 3.05 12.16 11.00 7.11 7.36 03/09/2006 07/24/1995 View Details MFS Massachusetts Investors Growth Stock Portfolio
 
Effective March 27, 2015, the MFS Investors Growth Stock Series-Initial Class merged with the MFS Massachusetts Investors Growth Stock Portfolio
U.S. Equity 16.63 -0.21 -8.89 2/11/2016 -1.77 8.84 9.16 5.74 3.87 03/27/2015 05/06/1998 View Details MFS Utilities Series - Initial Class Sector Specific 41.87 -1.17 -7.42 2/11/2016 -15.31 2.38 5.43 6.73 10.08 03/09/2006 01/03/1995 View Details Neuberger Berman AMT Large Cap Value Portfolio - Class I U.S. Equity 23.91 -0.29 -11.32 2/11/2016 -13.00 2.95 2.64 0.98 6.27 03/09/2006 03/22/1994 View Details Neuberger Berman AMT Mid Cap Intrinsic Value Portfolio - Class I U.S. Equity 21.90 -0.49 -12.59 2/11/2016 -12.77 6.63 5.95 3.56 6.26 03/09/2006 08/22/2001 View Details PIMCO VIT All Asset Portfolio - Inst. Class Balanced 14.53 -0.15 -4.24 2/11/2016 -11.41 -4.38 0.26 2.42 2.42 03/09/2006 01/31/2006 View Details PIMCO VIT Commodity Real Return Strategy Portfolio - Inst. Class Sector Specific 13.86 -0.04 -7.21 2/11/2016 -26.08 -21.50 -- -- -16.77 11/01/2013 04/30/2012 View Details PIMCO VIT Emerging Markets Bond Portfolio - Inst. Class Fixed Income 23.41 -0.12 -2.51 2/11/2016 -3.72 -3.55 -- -- -0.73 11/01/2013 04/30/2012 View Details PIMCO VIT Global Bond Portfolio - Unhedged - Inst. Class Fixed Income 17.08 0.03 2.61 2/11/2016 -4.85 -3.59 -0.10 3.53 3.53 03/09/2006 01/31/2006 View Details PIMCO VIT Real Return Portfolio - Inst. Class Fixed Income 16.57 -0.03 0.42 2/11/2016 -5.66 -3.31 1.47 3.15 5.17 03/09/2006 04/10/2000 View Details Prudential Series Fund - Jennison 20/20 Focus Portfolio - Class II U.S. Equity 20.95 -0.21 -16.22 2/11/2016 -1.22 8.25 6.33 4.76 4.88 03/09/2006 02/15/2000 View Details Prudential Series Fund - Natural Resources Portfolio - Class II Sector Specific 27.59 -0.26 -12.58 2/11/2016 -29.88 -17.92 -14.90 -3.83 1.70 03/09/2006 04/28/2005 View Details Prudential Series Fund - Value Portfolio - Class II U.S. Equity 27.86 -0.53 -14.44 2/11/2016 -11.65 4.21 4.26 2.68 3.52 03/09/2006 05/14/2001 View Details PVC Equity Income Account - Class I U.S. Equity 27.56 -0.43 -8.64 2/11/2016 -5.56 7.00 8.25 4.74 6.50 03/09/2006 04/28/1998 View Details PVC Mid Cap Account - Class I
 
Formerly PVC Mid Cap Blend Account - Class 1Closed to new investors effective August 15, 2013
U.S. Equity 32.58 -0.34 -14.16 2/11/2016 -4.58 9.27 11.47 8.32 11.43 10/23/2009 12/18/1987 View Details Royce Capital Fund Micro Cap Portfolio - Inv. Class U.S. Equity 13.97 -0.09 -13.80 2/11/2016 -15.22 -3.70 -2.71 0.69 8.20 03/09/2006 12/27/1996 View Details Royce Capital Fund Small Cap Portfolio - Inv. Class U.S. Equity 14.79 -0.15 -6.15 2/11/2016 -9.45 3.67 4.59 4.03 9.26 03/09/2006 12/27/1996 View Details T. Rowe Price Health Sciences Portfolio I Sector Specific 22.80 -0.40 -18.97 2/11/2016 -7.48 20.40 21.13 12.94 9.55 12/12/2014 12/29/2000 View Details T. Rowe Price Limited-Term Bond Portfolio Fixed Income 24.79 0.00 0.23 2/11/2016 -0.82 -0.53 0.05 1.79 3.06 03/05/2012 05/13/1994 View Details Templeton Developing Markets VIP Fund
 
Formerly Templeton Developing Markets Securities Fund-Class 1
International 10.28 -0.16 -8.73 2/11/2016 -24.83 -13.33 -7.77 -1.12 0.55 03/09/2006 03/04/1996 View Details TIAA-CREF Life Balanced Balanced 24.59 -0.16 -6.13 2/11/2016 -2.83 -- -- -- 1.73 02/14/2014 01/31/2014 View Details TIAA-CREF Life Bond Fixed Income 33.95 0.00 1.07 2/11/2016 -1.65 0.95 2.64 3.32 3.04 03/09/2006 07/08/2003 View Details TIAA-CREF Life Growth & Income U.S. Equity 41.25 -0.51 -13.07 2/11/2016 -1.51 10.19 10.03 7.07 3.40 03/09/2006 04/03/2000 View Details TIAA-CREF Life Growth Equity U.S. Equity 26.30 -0.14 -14.71 2/11/2016 2.24 13.49 11.92 6.89 0.59 03/09/2006 04/03/2000 View Details TIAA-CREF Life International Equity International 21.63 -0.34 -11.85 2/11/2016 -8.52 0.16 0.11 0.95 0.58 03/09/2006 04/03/2000 View Details TIAA-CREF Life Large Cap Value U.S. Equity 44.75 -0.80 -13.49 2/11/2016 -8.85 5.72 6.36 3.70 7.20 03/09/2006 10/28/2002 View Details TIAA-CREF Life Money Market Money Market 1.03 0.00 -0.90 12/11/2015 -0.95 -0.94 -0.93 0.52 0.58 03/09/2006 07/08/2003 View Details TIAA-CREF Life Real Estate Real Estate 49.11 -0.76 -12.27 2/11/2016 -6.82 7.30 9.03 5.01 9.97 03/09/2006 10/28/2002 View Details TIAA-CREF Life Small Cap Equity U.S. Equity 45.47 -0.54 -16.44 2/11/2016 -7.13 7.66 7.30 4.36 9.01 03/09/2006 10/28/2002 View Details TIAA-CREF Life Social Choice U.S. Equity 37.01 -0.43 -11.09 2/11/2016 -5.81 7.70 7.89 4.88 2.77 03/09/2006 04/03/2000 View Details TIAA-CREF Life Stock Index U.S. Equity 44.88 -0.56 -11.35 2/11/2016 -3.42 9.43 9.29 5.37 4.09 03/09/2006 01/04/1999 View Details Vanguard VIF Capital Growth Portfolio U.S. Equity 22.35 -0.24 -12.75 2/11/2016 -3.15 12.84 10.90 7.60 9.87 12/12/2014 12/03/2002 View Details Vanguard VIF Equity Index U.S. Equity 23.11 -0.29 -10.38 2/11/2016 -1.70 10.10 9.71 5.38 7.92 12/12/2014 04/29/1991 View Details Vanguard VIF High Yield Bond Portfolio Fixed Income 23.75 -0.23 -4.32 2/11/2016 -4.12 0.83 3.92 4.58 4.82 12/12/2014 06/03/1996 View Details Vanguard VIF Mid-Cap Index Portfolio U.S. Equity 21.84 -0.33 -13.53 2/11/2016 -7.80 8.43 8.16 5.39 8.21 12/12/2014 01/08/1999 View Details Vanguard VIF REIT Index Portfolio Real Estate 23.04 -0.32 -10.41 2/11/2016 -8.27 7.23 9.11 5.18 9.52 12/12/2014 01/08/1999 View Details Vanguard VIF Small Company Growth Portfolio U.S. Equity 20.69 -0.22 -17.70 2/11/2016 -11.01 6.51 7.82 4.91 8.54 12/12/2014 06/03/1996 View Details Vanguard VIF Total Bond Market Index Portfolio Fixed Income 25.33 0.02 2.18 2/11/2016 -1.47 0.97 2.24 3.52 4.83 12/12/2014 04/29/1991 View Details VY Clarion Global Real Estate Portfolio - Class I
 
Formerly ING Clarion Global Real Estate Portfolio - Class I
Real Estate 33.05 -0.41 -9.95 2/11/2016 -10.72 2.18 4.62 3.27 3.59 05/01/2010 01/03/2006 View Details Wanger International International 48.69 -0.60 -10.81 2/11/2016 -7.11 1.13 1.91 4.49 10.63 03/09/2006 05/03/1995 View Details Wanger Select U.S. Equity 32.73 -0.31 -13.50 2/11/2016 -6.67 5.49 3.31 4.21 8.18 03/09/2006 02/01/1999 View Details Wanger USA U.S. Equity 48.69 -0.32 -18.07 2/11/2016 -8.67 4.85 6.72 4.29 9.79 03/09/2006 05/03/1995 View Details Western Asset Variable Global High Yield Bond Portfolio - Class I
 
Formerly Legg Mason Western Asset Variable GL High Yield Bond Portfolio - Class I
Fixed Income 12.30 -0.14 -5.77 2/11/2016 -7.71 -2.52 1.72 3.64 4.81 04/26/2007 05/01/1998 View Details TIAA Traditional – Interest in our Rates is High Frequently asked questions about TIAA Traditional Annuity TIAA and CREF Contract Comparison TIAA Traditional Annuity Video