Adviser
Domini Impact Investments LLC
Subadviser
SSGA Funds Management, Inc.
CUSIP
257132100
Fund Type
Core U.S. stock market exposure through diversified mid- to large-cap domestic equities
Fund Objective
Long-term total return
Inception Date
6/3/91
Net Assets
Fund: $1,044.1 million
Investor shares: $882.9 million
as of 3/31/22
Annual Expense Ratio1
Gross/Net: 1.09%
Per current prospectus.
Front-End Sales Charge (Load)
None
Minimum Initial Investment
$2,500 for standard accounts
$1,500 for retirement accounts, custodial accounts, and accounts opened with an automatic investment plan
Fund Distributions
Dividends
Distributed quarterly
Capital Gains
Distributed annually