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June 25, 2019

 

IMPORTANT NOTICE TO SHAREHOLDERS

 

WILSHIRE VARIABLE INSURANCE TRUST
Wilshire Global Allocation Fund

 

Supplement to the Summary Prospectus and Statutory Prospectus,
each dated April 30, 2019

 

THIS SUPPLEMENT REPLACES AND SUPERCEDES ANY CONTRARY INFORMATION CONTAINED IN THE SUMMARY PROSPECTUS AND PROSPECTUS OF THE WILSHIRE GLOBAL ALLOCATION FUND (THE “FUND”).

 

On May 20, 2019, the Board of Trustees (the “Board”) approved a change to the Fund’s primary benchmark from the MSCI All Country World Index ex U.S. (“MSCI ACWI ex-US”) to the MSCI All Country World Index ex-US Investable Market Index (the “MSCI ACWI ex-US IMI”), and to the Fund’s blended benchmark index (the “Blended Index”) such that the Blended Index would consist of 65% MSCI ACWI ex-US IMI and 35% Bloomberg Barclays Global Aggregate Index (Hedged), effective June 28, 2019. The Summary Prospectus and Prospectus of the Fund are supplemented as detailed below.

 

The Average Annual Total Returns presented under the heading “Past Performance” of the Summary Prospectus and Prospectus of the Fund is amended to include the MSCI ACWI ex-US IMI as set forth below.

 

Average Annual Total Returns
(periods ended December 31, 2018)
         
  1 year   5 years   10 years
Global Allocation Fund (7.30)%   2.88%   7.11%
MSCI All Country World Index ex-US Investable Market Index(1) (reflects no deduction for fees, expenses and taxes) (14.76)%   0.85%   6.97%
MSCI All Country World Index(1) (net, reflects no deduction for fees, expenses or certain taxes) (9.42)%   4.26%   9.51%
Bloomberg Barclays Global Aggregate Bond Index (Hedged) (reflects no deduction for fees, expenses or taxes) 1.76%   3.44%   3.77%
Stock/Bond Composite(2) (reflects no deduction for fees, expenses or taxes) (9.10)%   1.92%   6.17%

  

 

(1)

This table compares the Fund’s average annual total returns for the period ended December 31, 2018 to those of the MSCI All Country World Index ex-US Investable Market Index and the MSCI All Country World Index ex US. Effective June 28, 2019, the Fund’s benchmark changed from the MSCI All Country World Index ex US to the MSCI All Country World Index ex-US Investable Market Index based upon the Adviser’s determination that the MSCI All Country World Index ex-US Investable Market Index more closely aligns with the investment strategy of the Fund.

 

(2)

The Stock/Bond Composite shown above consists of 65% MSCI All Country World Index ex-US Investable Market Index and 35% Bloomberg Barclays Global Aggregate Index (Hedged).

 

If you have any questions regarding the Fund, please call (866) 591-1568.

 

Investors Should Retain this Supplement for Future Reference.