A portfolio of large-capitalization US stocks that are constituents of SNRL200 and maintain certain characteristics associated with “growth” stocks.
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As September 11, 2024 | Index Level | 3-Month | 6-Month | 1-Year | YTD |
Price Return | 6,998.9 | 2.5% | 11.7% | 28.7% | 20.7% |
Total Return | 9,260.9 | 2.8% | 12.2% | 29.8% | 21.5% |
Net Total Return | 8,515.6 | 2.7% | 12.0% | 29.5% | 21.2% |
Index Level | 6,998.9 |
---|---|
3-Month | 2.5% |
6-Month | 11.7% |
1-Year | 28.7% |
YTD | 20.7% |
Index Level | 9,260.9 |
---|---|
3-Month | 2.8% |
6-Month | 12.2% |
1-Year | 29.8% |
YTD | 21.5% |
Index Level | 8,515.6 |
---|---|
3-Month | 2.7% |
6-Month | 12.0% |
1-Year | 29.5% |
YTD | 21.2% |
As of September 11, 2024
Index Symbol (Price Return) | SNRL2G |
Index Symbol (Total Return) | SNRL2GT |
Index Symbol (Net Total Return) | SNRL2GN |
Number of Constituents | 140 |
Market Capitalization | $31.9 Trillion |
Adjusted Market Capitalization | $100 Million |
Rebalancings | Quarterly |
Dividend Yield | 0.82% |
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