BlackRock Equity Index T
Release Date: 03-31-2020
BlackRock Equity Index T
..........................................................................................................................................................................................................................................................................................................................................
Benchmark
Overall Morningstar RatingTM
Morningstar Return
Morningstar Risk
Russell 1000 TR USD
QQQQQ
High
Average
Out of 1214 Large Blend investments. An investment's overall Morningstar Rating, based on its risk-adjusted return, is a
weighted average of its applicable 3-, 5-, and 10-year Ratings. See disclosure page for details.
Investment Information
Investment Objective & Strategy
The Fund is a collective investment trust maintained and managed by BlackRock Institutional Trust Company, N.A. ("BTC").
The Fund shall be invested and reinvested in a portfolio of equity securities with the objective of approximating as closely as practicable the capitalization weighted total rate of return of that segment of the U.S. market for publicly traded equity securities represented by the larger capitalized companies. The criterion for selection of investments shall be the S&P 500[rt] Index (the "Underlying Index"). BTC uses a "passive" or indexing approach to try to achieve the Fund's investment objective. Unlike many funds, the Fund does not try to outperform the index it seeks to track and does not seek temporary defensive positions when markets decline or appear overvalued.
BTC uses a replication indexing strategy to manage the Fund.
Fees and Expenses as of 04-07-20
Expense Ratio Total Annual Operating Exp per $1000 Maximum Sales Charge 12b-1 Fee Redemption Fee/Term
0.03% $ 0.25
. . .
Portfolio Manager(s)
Management Team.
Operations and Management
Inception Date
12-18-97
Management Company BlackRock Institutional Trust
Company NA
Telephone
800-441-7762
Web Site
Issuer
BlackRock Institutional Trust
Company NA
Category Description: Large Blend
Large-blend portfolios are fairly representative of the overall US stock market in size, growth rates and price. Stocks in the top 70% of the capitalization of the US equity market are defined as large cap. The blend style is assigned to portfolios where neither growth nor value characteristics predominate. These portfolios tend to invest across the spectrum of US industries, and owing to their broad exposure, the portfolios' returns are often similar to those of the S&P 500 Index.
Volatility And Risk
Investment
Low
Moderate
High
Performance as of 03-31-20
YTD
-19.58 -20.22 -20.92
1 Year
-6.96 -8.03 -9.97
3 Year
5.13 4.64 2.80
5 Year
6.75 6.22 4.46
40 30 20 10 0 -10 -20 -30
10 Year
10.56 10.39 8.84
Since Inception
6.61 6.69 5.25
Total Return % as of 03-31-20
Investment Benchmark
Average annual, if greater than 1 year
Investment Return % Benchmark Return % Category Average %
The performance data quoted reflects past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower than the performance data quoted. For the most receYnTtDmonth end pYeTrDformance infoYTrmD ation, pleasYeTcDall 1-800-922Y-T9D945, or visit YrpTDs..
Portfolio Analysis
Composition as of 03-31-20
U.S. Stocks Non-U.S. Stocks Bonds Cash Other
% Assets
98.1 1.3 0.0 0.7 0.0
Large Mid Small
Morningstar Equity Style BoxTM as of 03-31-20
% Market Cap
.G..i.a..n..t.......................................5..3.....9..5.
Large
33.79
Medium
12.05
.S..m...a..l.l........................................0.....2..1.
Value Blend Growth
Micro
0.00
Top 10 Holdings as of 03-31-20
% Assets
Microsoft Corp
5.56
Apple Inc
4.91
Inc
3.75
Facebook Inc A
1.86
B...e..r.k..s..h..i.r.e...H...a..t.h..a..w...a..y...I.n..c...B........................................................1....6..5.
Alphabet Inc A
1.61
Alphabet Inc Class C
1.61
Johnson & Johnson
1.60
JPMorgan Chase & Co
1.31
Visa Inc Class A
1.28
.......................................................................................................
Total Number of Stock Holdings
505
Total Number of Bond Holdings
0
Turnover Ratio %
7.62
Total Assets ($mil)
1,600.51
Morningstar Sectors as of 03-31-20
% Fund
h ........C...y.c..l.i.c..a..l...........................................................................2..8....6..0.
r Basic Materials
2.10
t Consumer Cyclical
9.64
y Financial Services
13.84
u Real Estate
3.02
j ........S...e..n..s..it..i.v.e..........................................................................4..4....0..5.
i Communication Services
10.78
o Energy
2.66
p Industrials
8.35
a Technology
22.26
.k.......D...e..f.e..n..s..i.v..e........................................................................2..7....3..5.
s Consumer Defensive
8.17
d Healthcare
15.60
f Utilities
3.58
Principal Risks For more information on the risks presented, please refer to Underlying Fund Risk 1, Equity Investment Risk, Securities Lending Risk 1, Derivatives Risk 1, Large-Capitalization Companies Risk
Category
Best 3 Month Return
25.86% (Mar '09 - May '09)
Worst 3 Month Return
-29.54% (Sep '08 - Nov '08)
BTEXF
?2020 Morningstar, Inc., Morningstar Investment ProfilesTM 312-696-6000. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of information. Past performance is no guarantee of future performance. Visit our investment website at .
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