IN THIS LIST

Measuring Munis: Using Indices to Assess Yield Opportunities

Indexing Covered Calls: A New Tool for Income Seekers

A Long-Term Look at S&P 500 Equal Weight

How Sector Neutrality Influences Risk/Return in S&P Dividend Aristocrats

Using the News to Select a More Stable Path to the S&P 500

Measuring Munis: Using Indices to Assess Yield Opportunities

  • Length 09:15

How are muni indices helping market participants navigate the yield curve in the current climate? S&P DJI’s Jennifer Schnabl and Vanguard’s David Sharp take a closer look at the S&P Intermediate Term National AMT-Free Municipal Bond Index and S&P California AMT-Free Municipal Bond Index.


Indexing Covered Calls: A New Tool for Income Seekers

  • Length 05:43

What are the potential benefits of a passive approach to covered calls? S&P DJI’s Phil Brzenk and ProShares’ Simeon Hyman take a closer look at the S&P 500 Daily Covered Call Index, its performance, and why the index uses a daily approach vs. a more standard weekly or monthly approach.


A Long-Term Look at S&P 500 Equal Weight

  • Length 06:23

How have S&P 500 Equal Weight Index's exposures informed its performance over time? S&P DJI’s Hamish Preston and Invesco’s Nick Kalivas look under the hood at the features influencing S&P 500 EWI’s risk/return and explore what its expanding ecosystem, including sectors and futures could mean for its range of potential applications moving forward.


How Sector Neutrality Influences Risk/Return in S&P Dividend Aristocrats

  • Length 07:08

What are the potential benefits of a sector neutral approach to S&P Dividend Aristocrats? S&P DJI’s Rupert Watts and State Street Global Advisors’ Colin Ireland explore the construction and range of potential applications for the S&P Sector-Neutral High Yield Dividend Aristocrats.


Using the News to Select a More Stable Path to the S&P 500

  • Length 04:56

Meet the S&P 500 RavenPack AI Index, a multi-asset index that applies a news analytics algorithm powered by RavenPack to select S&P 500 sectors with the strongest news sentiment for use in its sector rotation process. The index combines U.S. equities and fixed income, complemented by a daily risk control mechanism that seeks to maintain a target volatility of 5%.


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