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Arphra AIPlain-English read on Shelton S&P 500 Index Investor’s valuationBusiness description
· company · SEC profileShelton S&P 500 Index Investor
This fund aims to mirror the performance of the S&P 500 Index, which itself comprises the common shares of 500 premier U.S. corporations spanning a diverse array of industries. Operating under a passive management strategy, the fund does not engage in active stock selection. Instead, its primary objective is to hold the same constituent stocks as the index, ensuring that the proportional weighting of each security within the fund closely mirrors that of the benchmark. A core policy dictates that at least 80% of its total assetsâincluding any capital acquired through borrowing for investmentâwill be allocated to the underlying equities of the S&P 500 Index.
Founded
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IPO
Apr 20, 1992
Employees
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HQ
San Francisco, CA
CEO
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CFO
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Exchange
NASDAQ
Fiscal year
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Identifiers
· company_identifiersCIK0000778206
CUSIP82301Q775
ISINUS82301Q7759
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