Index Overview

SNP 500

Return Overview

1M
-2.08%
3M
+4.47%
6M
+11.95%
1Y
+16.22%
3Y
+19.42%
5Y
+11.06%
10Y
+13.56%
Max
+13.24%

Fundamentals

Asset TypeEquity
Index TypeGlobal
Std Deviation (1 yr)0.87%

Exchange Traded Funds (ETFs)

No exchange traded funds (etfs) available for this index

Index Funds

Swipe to view more data →

Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking ErrorAll-In-CostScore
N/A4,4870.52%1.21%1.73%

Sectoral Allocation

Total
100%
allocation
  • Consumer Durables17.1%
  • IT12.8%
  • Others11.0%
  • Miscellaneous8.4%
  • Capital Goods7.7%
  • Electricals6.1%
  • Retailing6.1%
  • Healthcare5.4%
  • Finance4.5%
  • Bank3.5%
  • FMCG3.1%
  • Crude Oil2.8%
  • Automobile & Ancillaries2.4%
  • Telecom2.4%
  • Media & Entertainment1.0%
  • Insurance1.0%
  • Infrastructure0.9%
  • Chemicals0.9%
  • Logistics0.7%
  • Hospitality0.7%
  • Trading0.3%
  • Agri0.2%
  • Textile0.2%
  • Diversified0.2%
  • Realty0.1%
  • Mining0.1%
  • Gas Transmission0.1%
  • Power0.1%
  • Iron & Steel0.1%
  • Aviation0.0%

Index Constituents

NameWeight
NVIDIA Corporation7.9%
Apple Inc Com7.0%
Microsoft Corp5.2%
Amazon.com4.1%
Alphabet Inc A3.4%
Broadcom Corporation3.3%
Alphabet Inc2.7%
Facebook2.1%
Tesla Inc.1.9%
Micron Technology Inc.1.7%
ELI LILLY ORD SHS1.4%
Berkshire Hathway Inc1.3%
Advanced Micro Devices Com1.3%
JP Morgan Chase & Co1.2%
Exxon Mobil Corp0.9%
Johnson & Johnson0.8%
Visa Inc0.8%
Intel Corporation0.8%
Walmart Inc0.8%
Cisco Systems Inc0.7%
Costco Wholesale Corporation0.7%
Caterpillar INC0.6%
Mastercard0.6%
Lam Research Corporation0.6%
AbbVie Inc0.6%
Oracle Corp0.6%
NetFlix Inc.0.6%
Applied Material (US)0.6%
Palantir Technologies Inc0.6%
Bank of America NA0.5%
Chevron Corp0.5%
Unitedhealth Group Inc.0.5%
General Electric Co0.5%
Procter & Gamble Co0.5%
Home Depot Inc0.5%
Coca-Cola Co0.5%
Goldman Sachs Group Inc0.5%
Merck & Company Inc0.5%
International Business Machines Corp.0.4%
Philip Morris Intl Inc0.4%
Texas Instruments0.4%
QUALCOMM0.4%
GE Vernova Inc0.4%
KLA-Tencor Corporation0.4%
Morgan Stanley0.4%
SanDisk Corporation0.4%
Raytheon Technologies Corp0.4%
Wells Fargo ORD SHS (US)0.4%
Linde PLC0.4%
Palo Alto Networks INC0.3%
Citigroup Inc0.3%
Analog Devices0.3%
McdonaldS Corporation0.3%
Verizon Communication0.3%
Pepsico Inc0.3%
Seagate Technology0.3%
Amgen0.3%
Amphenol Corp0.3%
Crowdstrike Holdings Inc0.3%
NextEra Energy Inc0.3%
Salesforce.Com0.3%
The Boeing Co0.3%
The Walt Disney Co0.3%
Thermo Fisher Scientific Inc0.3%
Western Digital Corporation0.3%
AT&T Inc0.3%
American Express Co0.3%
AppLovin Corp0.3%
Gilead Sciences Inc.0.3%
TJX ORD0.3%
Arista Networks Inc0.3%
Eaton Corp PLC0.2%
Union Pacific Corp0.2%
Abbott Laboratories0.2%
Blackrock Inc0.2%
Honeywell International (India) Pvt Ltd.0.2%
INTUITIVE SURGICAL INC COM0.2%
Pfizer INC0.2%
Charles Schwab Corp0.2%
ConocoPhillips0.2%
Corning Inc0.2%
Uber Technologies Inc0.2%
Welltower Inc0.2%
Booking holdings Inc0.2%
Deere & Co0.2%
Prologis Inc0.2%
S&P Global Inc0.2%
ServiceNow Inc0.2%
Dell Technologies Inc0.2%
Lowe S Companies Inc0.2%
Vertiv Holdings Co0.2%
Accenture Plc0.2%
Altria Group Inc0.2%
Bristol-Myers Squibb Co0.2%
Capital One Financial Corp0.2%
CVS Health Corporation0.2%
Danaher Corp0.2%
Newmont Corporation0.2%
Vertex Pharmaceuticals Inc.0.2%
Chubb Corp0.2%
Lockheed Martin Corp0.2%
Progressive Corp0.2%
Starbucks Ord Shs US0.2%
Adobe Systems0.2%
Cadence Design Systems Inc0.2%
Equinix0.2%
Howmet Aerospace Inc0.2%
Parker-Hannifin Corp0.2%
Quanta Services Inc0.2%
Southern Co0.2%
Stryker Corp0.2%
Bank of New York Mellon (US)0.1%
CME Group Inc0.1%
Duke Energy Corp0.1%
Freeport Mcmoran Copper & Gold Inc0.1%
Medtronic Plc0.1%
Trane Technologies Plc0.1%
Automatic Data Processing Inc.0.1%
Comcast Corporation0.1%
Constellation Energy Corp0.1%
Cummins Inc0.1%
FedEx Corp0.1%
General Dynamics Corp0.1%
Intuit Inc.0.1%
McKesson Corp0.1%
PNC Financial Services Group Inc0.1%
Synopsys Inc Com0.1%
T-Mobile Us Inc.0.1%
American Tower Corp0.1%
Blackstone Inc0.1%
CIENA Corporation0.1%
CSX Corporation0.1%
Datadog INC0.1%
Elevance Health Inc0.1%
Fortinet Inc0.1%
Intercontinental Exchange0.1%
Johnson Controls International PLC0.1%
Marriott International -Cl A0.1%
Schlumberger Ltd0.1%
US Bancorp Inc0.1%
Williams Companies Inc.0.1%
3M Co0.1%
Emerson Electric ORD SHS0.1%
General Motors Co0.1%
Hilton Worldwide Holdings Inc0.1%
Marsh & McLennan Cos Inc0.1%
Mondelez International0.1%
Monolithic Power Systems Inc0.1%
Northrop Grumman Corp0.1%
NXP Semiconductors0.1%
Ross Stores Inc.0.1%
United Parcel Service Inc0.1%
Waste Management Inc0.1%
American Electric Power Co Inc0.1%
Boston Scientific Corp0.1%
Colgate-Palmolive Co - (Overseas)0.1%
CRH PLC0.1%
EOG Resources Inc0.1%
Ford Motor Co0.1%
Marathon Petroleum Corp0.1%
Moody's Corp0.1%
Norfolk Southern Corp0.1%
O’Reilly Automotive Inc.0.1%
Phillips 660.1%
Robinhood Markets Inc A0.1%
Royal Caribbean Cruises Ltd0.1%
Sherwin-Williams Co0.1%
The Cigna Group0.1%
Transdigm Group0.1%
Valero Energy Corporation Ltd0.1%
Air Products & Chemicals Inc0.1%
Aon plc0.1%
Baker Hughes Incorporated0.1%
Coherent Corp0.1%
Comfort Systems USA ORD0.1%
Ecolab Inc0.1%
Illinois Tool Works Inc0.1%
KKR & Co Inc0.1%
Monster Beverage Corporation0.1%
Motorola Solutions Inc0.1%
Regeneron Pharmaceuticals0.1%
Simon Property Group Inc0.1%
TE Connectivity Ltd0.1%
Travelers Cos Inc0.1%
United Rentals Inc0.1%
Warner Bros Discovery Inc0.1%
Airbnb Inc0.1%
Apollo Global Management Inc0.1%
Cintas Corp Com0.1%
Digital Realty Trust Inc0.1%
Dominion Energy Inc.0.1%
DoorDash Inc0.1%
HCA Healthcare INC0.1%
Hewlett Packard Enterprise Co0.1%
Keysight Technologies Inc0.1%
Kinder Morgan Inc0.1%
L3Harris Technologies Inc0.1%
Lumentum Holdings Inc0.1%
Nucor Corp0.1%
PACCAR Inc.0.1%
Realty Income Corp0.1%
Sempra Energy0.1%
Target Corp0.1%
Teradyne Inc0.1%
Truist Financial Corp0.1%
Aflac Inc0.1%
Allstate Corp0.1%
Amerisource Bergen Corp0.1%
AMETEK Inc0.1%
Arthur J Gallagher & Co0.1%
Autodesk0.1%
Autozone INC0.1%
Carrier Global Corp0.1%
Carvana Cl A Ord0.1%
Corteva Inc0.1%
Delta Air Lines Inc0.1%
Devon Energy Corp0.1%
eBay0.1%
Edwards Lifesciences Corp0.1%
Entergy Corp0.1%
Fastenal Co0.1%
Microchip Technology Inc0.1%
Nike Inc0.1%
ONEOK Inc0.1%
Rockwell Automation Inc0.1%
Targa Resources Corp0.1%
Vistra Corp0.1%
WW Grainger Inc0.1%
Cardinal Health Inc0.1%
Electronic Arts Inc.0.1%
Exelon (US)0.1%
Fifth Third Bancorp0.1%
IDEXX Laboratories Inc Com0.1%
Metlife Inc0.1%
MSCI Inc0.1%
ON Semiconductor Corp0.1%
Public Storage0.1%
State Street Corp0.1%
Westinghouse Air Brake Technologies Corp0.1%
Xcel Energy Inc Com0.1%
Agilent Technologies Inc0.1%
American International Group Inc0.1%
Ameriprise Financial Inc0.1%
Archer Daniels Midland Company Ltd.0.1%
Becton Dickinson and Co0.1%
Block Inc0.1%
Carnival Corp0.1%
Cbre Group Inc - A0.1%
Chipotle Mexican Grill Inc0.1%
Coinbase Global Inc -Class A0.1%
Consolidated Edison Inc0.1%
Crown Castle International Corp0.1%
Diamondback Energy Inc0.1%
DR Horton Inc0.1%
Emcor Group Inc0.1%
Garmin Ltd.0.1%
Humana Inc0.1%
Interactive Brokers Group-Cl A0.1%
Iron Mountain Inc0.1%
Jabil Inc0.1%
Keurig Dr Pepper0.1%
Kroger0.1%
NASDAQ INC0.1%
Occidental Petroleum Corporation0.1%
Old Dominion Freight Line Inc0.1%
Paypal Holdings Inc-W/I0.1%
PG&E Corporation0.1%
Public Service Enterprise Group Inc0.1%
Republic Services Inc0.1%
Steel Dynamics Inc0.1%
Sysco Corp0.1%
Take-Two Interactive Software Inc0.1%
United Airlines Holdings Ord0.1%
Ventas INC0.1%
Vulcan Materials Co0.1%
Water Corp ORD SHS0.1%
WEC Energy Group Inc0.1%
Yum Brands Inc.0.1%
Ameren Corp0.1%
Arch Capital Group Ltd.0.1%
Axon Enterprise Inc0.1%
Cboe Global Markets Inc0.1%
DTE Energy Co0.1%
EQT Corporation0.1%
Extra Space Storage Inc0.1%
Fair Isaac & Co Inc0.1%
First Solar Inc0.1%
Fiserv0.1%
Halliburton Co0.1%
Huntington Bancshares Inc0.1%
Iqvia Holdings0.1%
Kenvue Inc0.1%
Kimberly-Clark Corp0.1%
M&T Bank Corp0.1%
Martin Marietta Materials0.1%
NetApp Inc.0.1%
Northern Trust Corp0.1%
Paychex Inc.0.1%
Prudential Financial Inc0.1%
Qnity Electronics Inc.0.1%
Roper Technologies Inc0.1%
Tapestry Inc0.1%
The Hartford Financial Services Group Inc0.1%
VICI Properties Inc0.1%
Workday Inc Class A0.1%
Zoetis Inc0.1%
American Water Works Co Inc0.0%
Ares Management Corporation0.0%
Atmos Energy Corp0.0%
AvalonBay Communities Inc0.0%
Biogen Inc ORD SHS0.0%
Casey'S General Store0.0%
Centene Corp0.0%
CenterPoint Energy Inc0.0%
Cincinnati Financial Corp0.0%
Citizens Financial Group Inc0.0%
Cognizant Technology Solutions Corporation0.0%
Copart0.0%
Corpay Inc0.0%
Darden Restaurants Inc0.0%
Dexcom Inc0.0%
Dollar General Corporation0.0%
Dover Corp0.0%
Dow Inc0.0%
Edison International0.0%
Eversource Energy0.0%
Expedia Inc.0.0%
FirstEnergy Corp0.0%
GE Healthcare Technologies Inc.0.0%
Hershey Co/The0.0%
Hewlett Packard Co0.0%
Hubbell Inc0.0%
Ingersoll Rand Inc0.0%
Live Nation Entertainment Inc0.0%
Mettler-Toledo International Inc0.0%
NRG Energy Inc0.0%
Omnicom Group Inc0.0%
Otis Worldwide Corp0.0%
PPG Industries Inc0.0%
PPL Corp0.0%
Raymond James Financial Inc0.0%
Regions Financial Corp0.0%
ResMed Inc.0.0%
Super Micro Computer Inc0.0%
Synchrony Financial0.0%
T Rowe Price Group Inc0.0%
Teledyne Technologies Inc0.0%
Texas Pacific Land Corporation0.0%
Veeva Systems Inc.0.0%
VeriSign Inc.0.0%
Verisk Analytics0.0%
West Pharmaceutical Services Inc0.0%
Williams-Sonoma Inc0.0%
Willis Towers Watson PLC0.0%
Xylem Inc0.0%
Akamai Technologies0.0%
Albemarle Corp0.0%
Alliant Energy Corp0.0%
Amcor Ltd.0.0%
Broadridge Financial Solutions Inc0.0%
Brown & Brown Inc0.0%
Bunge Global SA0.0%
CDW Corporation0.0%
CF Industries Holdings Inc0.0%
CH Robinson Worldwide Inc0.0%
Church & Dwight Co Inc0.0%
CMS Energy Corp0.0%
Constellation Brands Inc0.0%
Dollar Tree Inc.0.0%
DuPont de Nemours Inc0.0%
EchoStar Corp0.0%
Equifax Inc0.0%
Equity Residential0.0%
Essex Property Trust Inc0.0%
Estee Lauder CL A ORD0.0%
Evergy Inc0.0%
Expand Energy Ord0.0%
Expeditors International of Washington Inc.0.0%
F5 Inc0.0%
Fidelity National Information Services0.0%
Fortive Corp0.0%
Generac Holdings Inc0.0%
General Mills Inc.0.0%
Global Payments Inc0.0%
International Flavors & Fragrances Inc0.0%
International Paper Co0.0%
Invitation Homes Inc0.0%
JB Hunt Transport Services Inc0.0%
KeyCorp0.0%
Kraft Heinz Company0.0%
Labcorp Holdings Inc0.0%
Leidos Holdings Inc0.0%
Lennar Corp0.0%
Loews Corp0.0%
Lyondellbasell Industries N.V.0.0%
Moderna Inc0.0%
NiSource Inc0.0%
NVR Inc0.0%
Packaging Corp of America0.0%
Principal Financial Group Inc0.0%
PTC Inc.0.0%
PulteGroup Inc0.0%
Quest Diagnostics Inc0.0%
SBA Communications Corporation0.0%
Smurfit WestRock plc0.0%
Snap- On Inc0.0%
Southwest Airlines Co0.0%
STERIS PLC0.0%
Tractor Supply Company0.0%
Tyson Foods INC0.0%
Ulta Beauty Inc0.0%
Veralto Corp0.0%
Viatris Inc0.0%
W. R. Berkley Corp0.0%
Weyerhaeuser Co0.0%
Zimmer Biomet Holdings Inc.0.0%
AES Corp0.0%
Align Technology Inc Com0.0%
Allegion PLC0.0%
Apa Corporation0.0%
Aptiv PLC0.0%
Assurant Inc0.0%
Avery Dennison Corp0.0%
Ball Corp0.0%
Best Buy Co Inc0.0%
Camden Property Trust0.0%
Charter Communication-A0.0%
Clorox Company0.0%
Cooper Companies Inc0.0%
Costar Group0.0%
Deckers Outdoor Corporation0.0%
Everest Re Group Ltd0.0%
FOX-Registered Shares-A0.0%
Gartner Inc0.0%
Gen Digital Inc0.0%
Genuine Parts Co0.0%
Globe Life Inc0.0%
GoDaddy Inc0.0%
Hasbro Inc Com0.0%
Healthpeak Properties Inc0.0%
Host Hotels & Resorts Inc0.0%
Huntington Ingalls Industries Inc0.0%
Idex Corp0.0%
Incyte Corporation0.0%
Insulet Corp0.0%
Invesco Ltd0.0%
Jack Henry & Associates Inc0.0%
Jacobs Solutions Inc0.0%
JM Smucker Co/The0.0%
Kimco Realty Corp0.0%
Las Vegas Sands Corp0.0%
Lennox International Inc0.0%
Lululemon Athletica Inc Com0.0%
Masco Corp0.0%
McCormick & Co Inc0.0%
Mid-America Apartment Communities Inc0.0%
Nordson Corp0.0%
Pentair Inc0.0%
Pinnacle West Capital Corp0.0%
Ralph Lauren Corp0.0%
Regency Centers Corp0.0%
Revvity Inc0.0%
Rollins Inc0.0%
Skyworks Solutions Inc0.0%
Solventum Corp0.0%
Stanley Black & Decker Inc0.0%
Textron Inc0.0%
TKO Group Holdings0.0%
Trimble Inc0.0%
Tyler Technologies Inc0.0%
UDR Inc0.0%
Zebra Technologies Corp0.0%
Alexandria Real Estate Equities Inc0.0%
AO Smith Corp0.0%
Baxter International ORD SHS0.0%
Bio Techne Ord0.0%
Boston Properties Inc0.0%
Brown-Forman Corp0.0%
Builders Firstsource Inc0.0%
Campbell Soup Company0.0%
Charles River Laboratories International Inc0.0%
Conagra Brands Inc0.0%
DaVita Inc0.0%
Domino's Pizza Inc0.0%
EPAM Systems Inc0.0%
Erie Indemnity Co0.0%
FactSet Research System Inc0.0%
Federal Realty Investment Trust0.0%
FOX-Registered Shares-B0.0%
Franklin Resources (US)0.0%
Henry Schein Inc.0.0%
Hormel Foods Corp0.0%
MGM Resorts International0.0%
Molson Coors Beverage Co0.0%
News Corp0.0%
News Corporation0.0%
Norwegian Cruise Line Holdings Ltd.0.0%
Paramount Skydance Productions LLC CL B0.0%
Pool Corp0.0%
The Mosaic Company Ltd.0.0%
The Trade Desk Inc0.0%
Universal Health Services Inc0.0%
Wynn Resorts Ltd.0.0%

Holdings Concentration

Total covered: 100%
Top 1–5
5 holdings
27.6%
28%
share
Top 6–10
5 holdings
11.7%
12%
share
Top 11–20
10 holdings
10.2%
10%
share
Beyond 20
483 holdings
50.6%
51%
share

Market Cap Classification

No data available

Index Methodology

Factor BasisSize (Market Cap)
UniverseU.S. Listed Companies (Large, Mid & Small Cap)
WeightageFloat-Adjusted Market Cap Weighting
Stocks IncludedLeading U.S. companies meeting minimum market cap (~USD 22.7B), liquidity, public float (≥10%), and profitability requirements, listed on eligible U.S. exchanges.
ExclusionsNon-U.S. companies, ETFs, ADRs, ADS, closed-end funds, or companies failing market cap, liquidity, public float, or earnings criteria are excluded.

Index • Last updated: 11/09/2026

Note: Above data is based on average of ETFs / Index Funds.