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Fund Information

SSgA S&P 500 Index Instl
Ticker: SVSPX Objective: Growth
Trailing Trailing Period Returns as of 06/30/2010
3 Months 6 Months 1 Year 3 Year 5 Year 10 Year
-11.41% -6.68% 14.27% -9.91% -0.92% -1.73%
Calendar Year Performance as of 06/30/2010
YTD 2009 2008 2007 2006 2005
-6.68% 26.22% -37.03% 5.41% 15.60% 4.71%
1 Year Fund Statistics
Low Average High
$16.82 $18.19 $20.03

Net Asset Values
Download NAVs as Excel File
Fund Prospectus Fund Company Website
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Google Finance MarketWatch Mutual Fund Profile
Morningstar Information:
Rating: /5 Risk: Average Return: Average
Category: Large Blend
Expense Ratio %: 0.18
Top 10 Holdings:
1. ExxonMobil Corporation 3%
2. AIM Prime Fund 2.66%
3. Microsoft Corporation 2.16%
4. Procter & Gamble Company 1.8%
5. Apple, Inc. 1.79%

6. Johnson & Johnson 1.69%

7. General Electric Company 1.66%
8. International Business Machines Corp 1.63%
9. Bank of America Corporation 1.61%
10. J.P. Morgan Chase & Co. 1.61%
Composition:
Cash: 2.95%
Stocks: 97.05%
Bonds: 0%
Other: 0%

Top 3 Sector Weightings:
Information Economy: 22.35%
Service Economy: 39.08%
Manufacturing Economy: 35.62%
Fund Values
Fund data is updated on a quarterly basis from information provided by Morningstar.com. Data is as of June 30, 2010.