FXAIX
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+ Follow| Market cap | $836.39 Billion |
|---|---|
| Enterprise Value | - |
| Dividend Yield | $2.72 (1.05%) |
| Earnings per Share | $- |
| Beta | 1 |
| Outstanding Shares | - |
| P/E Ratio | - |
|---|---|
| PEG | - |
| Price to Sales | - |
| Price to Book Ratio | - |
| Enterprise Value to Revenue | - |
| Enterprise Value to EBIT | - |
| Enterprise Value to Net Income | - |
| Total Debt to Enterprise | - |
| Debt to Equity | - |
No data
Market sentiment based on institutional option activity.
| Put/Call Ratio | 0.00000% |
|---|---|
| Total Calls | - |
| Total Puts | - |
Holdings and activity of institutional investors.
| Ownership % | 0.00%▼ 0.01% |
|---|---|
| Total Invested | $22.71M▼ 71.01% |
| Investors Holding | 26▼ 4.00% |
No data
The investment seeks to provide investment results that correspond to the total return performance of common stocks publicly traded in the United States. The fund normally invests at least 80% of assets in common stocks included in the ...
Provides the mandatory fiscal scoring that determines the viability of tax changes affecting all 500 index constituents.
Controls corporate tax rates and trade tariffs, which are the most significant legislative drivers of net income for S&P 500 firms.
Controls the actual flow of federal dollars to a vast range of public companies, driving the revenues of index constituents.
FDA oversight and labor law changes impact the profitability of the healthcare and consumer sectors within the fund.
Antitrust oversight directly impacts the growth and merger potential of the largest S&P 500 companies, particularly in tech.
Regulates the SEC and the Fed, directly impacting the asset management industry, fund compliance, and financial sector earnings.
Sets the fiscal framework and spending ceilings that drive the macroeconomic environment and US sovereign credit outlook.
Regulates 'Big Tech', telecom, and aerospace, which together constitute the heaviest sector weights within the S&P 500.