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S&P 100

The S&P 100 Index, a sub-set of the S&P 500®, measures the performance of large cap companies in the United States.  Known by its ticker symbol, OEX, the index is comprised of 100 major, blue chip companies across multiple industry groups. The primary criterion for index inclusion is the availability of individual stock options for each constituent.

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Performance Data

(as of 10-Sep-2012 )
Daily Annualized
Index Name Adjusted Market Cap ($Million) Index Level Performance
1 Day MTD QTD YTD
TOTAL RETURNS
S&P 100 (TR) N/A 1,157.44 -.64% 1.53% 5.69% 16.85%
PRICE RETURNS
S&P 100 8,367,382.68 656.12 -.65% 1.5% 5.18% 14.95%
Index Name Performance
(as of 31-Aug-2012 )
1 Year 3 Year 5 Year
TOTAL RETURNS
S&P 100 (TR) 20.8% 13.36% 1.21%
PRICE RETURNS
S&P 100 17.96% 10.84% -1.22%

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Index Level Performance

  (as of 10-Sep-2012)
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Cumulative Performance

Top 10 Constituents by Market Cap

(as of 10-Sep-2012)
Constituent Symbol GICS® Sector Price ($)
Apple Inc. AAPL Information Technology 662.74
Exxon Mobil Corp XOM Energy 89.48
Intl Business Machines Corp IBM Information Technology 200.95
Microsoft Corp MSFT Information Technology 30.71
General Electric Co GE Industrials 21.48
Chevron Corp CVX Energy 113.96
AT&T Inc T Telecommunication Services 37.42
Procter & Gamble PG Consumer Staples 68.51
Johnson & Johnson JNJ Health Care 68.18
Wells Fargo & Co WFC Financials 34.59
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