Columbia Large Cap Index Fund Institutional 2 Class
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About the company
This fund's primary objective is to generate a total return, prior to any charges or expenses, that effectively mirrors the performance of the Standard & Poor's (S&P) 500® Index. Under typical market conditions, the fund dedicates a minimum of 80% of its net assets—a figure that incorporates any capital borrowed for investment purposes—to the common equities that comprise the S&P 500 Index. To meticulously replicate the index's performance, the Investment Manager strives to distribute the fund's investments among these common stocks in proportions that closely align with those of the index.
- IPO
- 2012
- HQ
- Boston, MA, US
Price Chart
- Market Cap
- $3.09B
- P/E
- 0.00
- P/S
- 0.28
- P/B
- 0.00
- EV/EBITDA
- 3.34
- Div Yield
- 17.39%
- Gross Margin
- 32.73%
- Op Margin
- 17.42%
- Net Margin
- 7.63%
- ROE
- 6.17%
- ROIC
- 5.48%
- Revenue
- $87.17B · -13.40%
- Net Income
- $6.66B · 620.24%
- EPS
- $2.63 · 610.81%
- Op Income
- $15.18B
- FCF YoY
- 536.09%
- 52W High
- $64.41
- 52W Low
- $52.04
- 50D MA
- $60.36
- 200D MA
- $59.16
- Beta
- 1.00
- Avg Volume
- 0
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