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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. You can also click here to view the current STRS Ohio Investment Performance Report for these options.

NAVs posted are for 11/19/09

Investment choice
NAV
MTD Return
QTD Return
FYTD Return
STRS Money Market 
7-day effective annual yield: 0.01%
1.0000
0.00%
0.00%
0.02%
STRS Barclays Capital U.S. Universal Bond Index Return
15.8983
0.97%
1.49%
5.69%
STRS Large-Cap Core Choice
12.3945

5.52%

3.65%
20.76%
STRS Russell 1000 Index Return
12.9286
5.83%
3.48%

20.06%

STRS Russell 2000 Index Return
13.9915
4.14%

-2.95%

15.71%
STRS REIT Choice (Real Estate)
17.7329
6.57%
2.00%
37.12%
STRS MSCI World ex USA Index Return (International)
17.9181
2.96%
1.27%
20.77%
STRS Total Guaranteed Return Choice 2010*
12.6490
0.29%
0.74%
2.11%
STRS Total Guaranteed Return Choice 2011*
11.9878
0.29%
0.74%
2.10%
STRS Total Guaranteed Return Choice 2012*
11.3639
0.29%
0.73%
2.10%
STRS Total Guaranteed Return Choice 2013*
10.6998
0.27%
0.67%
1.92%
STRS Total Guaranteed Return Choice 2014
10.1533
0.21%
0.54%
1.53%

* These options are closed to new investments.

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