Securian Asset Management

SECURIAN AM REAL ASSET
INCOME FUND

Institutional Class - VSDIX

FUND FACTS

Institutional - VSDIX

Inception Date
09/12/2012

Gross Expense Ratio
1.08%

Net Expense Ratio*
0.77%

Class A - ASDNX

Inception Date
12/16/2014

Gross Expense Ratio
1.35%

Net Expense Ratio*
1.21%



*Securian Asset Management, Inc. has contractually agreed to reimburse expenses through December 29, 2019.


OTHER FUNDS