IN THIS LIST

A Dynamic, Diverse, Multi-Asset Approach to ESG

Exploring South Africa’s Fixed Income Indices

Going Multi-Asset to Participate and Protect in Challenging Markets

Innovating for Insurance: S&P MARC 5% Index

S&P Dividend Aristocrats + Risk Control = Participation and Protection

A Dynamic, Diverse, Multi-Asset Approach to ESG

  • Length 4:00

The S&P ESG Global Macro Index is designed to capture potential opportunities across market conditions through a rules-based, geographically diverse, dynamic mix of ESG equities and fixed income.


Exploring South Africa’s Fixed Income Indices

  • Length 6:52

How are South African investors using fixed income in today’s markets? S&P DJI’s Zack Bezuidenhoudt explores our range of indices and talks through recent market drivers, index performance, and potential roles for bonds in diversified portfolios.


Going Multi-Asset to Participate and Protect in Challenging Markets

  • Length 4:13

Explore how the innovative design of the S&P BEF Index, including a dynamic response to risk and diversification across geographies and assets, influences risk/return.   


Innovating for Insurance: S&P MARC 5% Index

  • Length 3:58

Explore the mechanics of a dynamic multi-asset strategy designed to protect on the downside while capturing greater potential for upside performance.


S&P Dividend Aristocrats + Risk Control = Participation and Protection

  • Length 4:34

Explore how combining risk control with S&P 500 Dividend Aristocrats addresses volatility and influences return.


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