TIAA-CREF Mutual Funds

TIAA-CREF Large-Cap Growth Index Fund (Institutional)

TILIX

Daily NAV

 

Day's Change

 

Portfolio Net Assets

 

Gross / Net Expense Ratio

 

Overall Morningstar Rating

 
The Overall Morningstar Rating is based on risk-adjusted return, and is a weighted average of the applicable 3-, 5-, and 10-year Ratings.
 
 

52 Week Range

$21.95
 
0.01 (0.05%)
 
$2.11B
 
0.07% / 0.07%
 
OVERALL
OUT OF 1,538 FUNDS
 
$18.53 - $21.95
As of close 02/26/2015As of 01/31/2015
As of 01/31/2015
Based on risk adjusted returns
 
04/11/2014
 
 
 
02/26/2015

Management Team

Jim Campagna, CFASenior Director, Equity Investments, Quantitative Portfolio Management
Biography

Jim Campagna is a senior director and quantitative portfolio manager for the TIAA-CREF organization. Mr. Campagna has portfolio management responsibilities for all equity index strategies and socially screened equity portfolios. He joined the TIAA-CREF organization in 2005. Mr. Campagna has 22 years of investment experience. Prior to his employment at TIAA-CREF, he was a portfolio manager at Mellon Capital Management where he was responsible for several funds, and was an index strategy leader for the MSCIĀ® EAFEĀ® mandates. Mr. Campagna earned his B.A. in economics from the University of California, Irvine

 
Lei Liao, CFADirector, Equity Quantitative Portfolio Management
Biography

Lei Liao is a director and portfolio manager for the TIAA-CREF organization. Mr. Liao manages domestic and international large-, mid- and small-cap equity index portfolios. He joined the TIAA-CREF organization in 2012. Mr. Liao has 10 years of investment experience. Previously, he was a senior portfolio manager at Northern Trust Global Investments and a portfolio manager at World Asset Management. Mr. Liao earned a B.S. in Environmental Science from Nankai University in China, an M.S. in Computer Engineering from Wayne State University, and an MBA from the University of Michigan Ross School of Business. He is a CFA charter holder and is a member of Investment Analyst Society of Detroit and the CFA Institute.

The risks that the fund is subject to include Market Risk, Issuer Risk, Large-Cap Risk, Style Risk, Active Management Risk, Foreign Investment Risk, Special Situation Risk

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