| Investment Choices
STRS Ohio will post the net asset value (NAV) as well as the month-to-date
(MTD), quarter-to-date (QTD) and fiscal year-to-date (FYTD), July 1 through
June 30, returns for all eight investment choices available in the Defined Contribution
and Combined Plans each business day. To learn more about each investment
choice, click on its name.
NAVs posted are for 05/12/08
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