Share Class Assets Under Management Chart

Sep '18
Jan '19
May '19
 
285.00
270.00
255.00
240.00
View Share Class Assets Under Management Chart
Start Trial

Historical Share Class Assets Under Management Data

View and export this data back to 2004. Start Trial.
Date Value
September 11, 2026 786.30M
September 10, 2026 782.71M
September 09, 2026 789.83M
September 08, 2026 794.40M
September 04, 2026 799.39M
September 03, 2026 801.69M
September 02, 2026 794.05M
September 01, 2026 790.31M
August 31, 2026 796.78M
August 28, 2026 800.29M
August 27, 2026 802.30M
August 26, 2026 797.38M
August 25, 2026 798.08M
August 24, 2026 795.21M
August 21, 2026 798.09M
August 20, 2026 794.98M
August 19, 2026 803.10M
August 18, 2026 801.34M
August 17, 2026 808.49M
August 14, 2026 813.03M
August 13, 2026 814.19M
August 12, 2026 809.94M
August 11, 2026 807.85M
August 10, 2026 810.69M
August 07, 2026 813.75M
Date Value
August 06, 2026 810.06M
August 05, 2026 812.02M
August 04, 2026 813.46M
August 03, 2026 799.10M
July 31, 2026 787.05M
July 30, 2026 781.82M
July 29, 2026 768.98M
July 28, 2026 781.70M
July 27, 2026 781.64M
July 24, 2026 782.01M
July 23, 2026 782.81M
July 22, 2026 792.75M
July 21, 2026 794.54M
July 20, 2026 787.89M
July 17, 2026 790.21M
July 16, 2026 799.64M
July 15, 2026 808.60M
July 14, 2026 806.49M
July 13, 2026 802.47M
July 10, 2026 809.85M
July 09, 2026 806.79M
July 08, 2026 799.98M
July 07, 2026 802.44M
July 06, 2026 807.54M
July 02, 2026 801.43M

Share Class Assets Under Management (AUM) Definition

Share Class Assets Under Management (AUM) is the total market value of the investments that a fund holds with regards to a specific Share Class of the fund.

Read full definition.

Share Class Assets Under Management Range, Past 5 Years

View Share Class Assets Under Management Range, Past 5 Years
Start Trial
--
Minimum
--
Maximum
--
Average
--
Median

Share Class Assets Under Management Benchmarks

View Share Class Assets Under Management Benchmarks
Start Trial
Fidelity Contrafund 164.18B
Sparrow Growth Fund No-Load 47.89M
Nicholas Fund 3.958B
BNY Mellon Large Cap Securities Fund 2.436B
New Covenant Growth Fund 569.91M