| Growth Equity | ||
|---|---|---|
| The Large-Cap Growth Equity Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact Sheet Commentary |
| The Focus Smid-Cap Growth Equity Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| The Select 20 Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| Value Equity | ||
|---|---|---|
| The Large-Cap Value Equity Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| The Real Estate Investment Trust Portfolio II | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| International | ||
|---|---|---|
|
The Emerging Markets Portfolio (This Portfolio is closed to new investors) |
Summary Prospectus Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Commentary |
| The Emerging Markets Portfolio II | Summary Prospectus Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| The Global Real Estate Securities Portfolio | Summary Prospectus Prospectus Prospectus - Class P SAI Schedule of Investments XBRL instance package XBRL instance package (Class P) | Annual report Semiannual report Fact sheet Commentary |
|
The International Equity Portfolio (This Portfolio is closed to new investors) |
Summary Prospectus Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Commentary |
| The Labor Select International Equity Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| Back to the top | ||
| Fixed income | ||
|---|---|---|
| The High-Yield Bond Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| The Core Plus Fixed Income Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| The Core Focus Fixed Income Portfolio | Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Fact sheet Commentary |
| Back to the top | ||
| International Fixed Income* | ||
|---|---|---|
|
The Global Fixed Income Portfolio (This Portfolio is closed to new investors) |
Summary Prospectus Prospectus SAI Schedule of Investments XBRL instance package | Annual report Semiannual report Commentary |
| Back to the top | ||
Carefully consider the Portfolios’ investment objectives, risk factors, charges, and expenses before investing. This and other information can be found in the Portfolios' prospectus and, if available, their summary prospectuses, which may be obtained by clicking here or calling 800 231-8002. Investors should read the prospectus and, if available, the summary prospectus carefully before investing.
Investing involves risk, including the possible loss of principal.
The Portfolios are distributed by Delaware Distributors L.P., an affiliate of Delaware Management Holdings, Inc., and Macquarie Group Limited.
Not FDIC Insured | No Bank Guarantee | May Lose Value
Delaware Pooled Trust capital gains estimates
Delaware Pooled Trust Application
Part I of the Delaware Management Business Trust ("DMBT")
Issued annually, our fund prospectuses present detailed information about funds' investment objectives and strategies; risks, holdings, performance; and fees and expenses.
Annual reports describe our funds, their activities, and their performance during the reporting period. They contain detailed financial information, which is also published in semiannual reports.
Updated at least annually, the SAI expands on the fund prospectus with detailed information about the structure and administrative practices that apply to the fund.
Investments held by a mutual fund.
At-a-glance information about our funds is published quarterly.
Presented quarterly by our portfolio managers and investment analysts, commentaries discuss fund activity and the prevailing market environment.
Have questions? Contact the service center for answers.
Phone: 800 523-1918
Representatives are available weekdays from 8:30 a.m. to 6:00 p.m. Eastern time.