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Index / ETFs
Most Recent Index / ETFs
Global stocks recovered in June from their May slump, as investors looked for a favorable resolution to trade disputes and leading central banks indicated their readiness to ease monetary policy should the economic situation demand it.
Global stocks recovered in June from their May slump, as investors looked for a favorable resolution to trade disputes and leading central banks indicated their readiness to ease monetary policy should the economic situation demand it.
Index | Benchmarks
Market Rebound Cracks in May on Trade Concerns Market Rebound Cracks in May on Trade Concerns
A rebound in global stocks this year faltered in May as negotiations for a trade truce between the US and China appeared to break down and concerns emerged that the global economic expansion may hit a snag.
A rebound in global stocks this year faltered in May as negotiations for a trade truce between the US and China appeared to break down and concerns emerged that the global economic expansion may hit a snag.
Global stocks extended their positive streak in April, adding a fourth month, with some regional benchmarks reaching record highs, as the outlook for the world’s economy improved and a majority of companies’ earnings beat estimates.
Global stocks extended their positive streak in April, adding a fourth month, with some regional benchmarks reaching record highs, as the outlook for the world’s economy improved and a majority of companies’ earnings beat estimates.
Factor Investing
The low volatility premium – An analysis of factor exposures of minimum variance strategies
Minimum variance strategies have gained significant traction especially since the global financial crisis. They aim at reducing or minimizing variance, i.e. the square of volatility as measured by standard deviation, or, in this case, price fluctuations of portfolio prices around their mean.
Index | Index / ETFs
The low volatility premium – An analysis of factor exposures of minimum variance strategies
Minimum variance strategies have gained significant traction especially since the global financial crisis. They aim at reducing or minimizing variance, i.e. the square of volatility as measured by standard deviation, or, in this case, price fluctuations of portfolio prices around their mean.
Index | Index / ETFs
STOXX Announces Results Of Annual Emerging And Developed Markets Classification Review – Sep 23, 2019
ZUG (September 23, 2019), out of the 65 countries in the STOXX index universe, 25 are classified as developed markets, and 21 are classified as emerging markets.
STOXX Ltd. has won the award “Most Innovative Index Asia-Pacific 2019” by Structured Retail Products (SRP). The award recognizes the innovation in the thematic space that STOXX is consistently pursuing.
Corporate | Portfolio Construction
Deutsche Börse Creates Leading Index And Portfolio/Risk Analytics Business
Deutsche Börse AG (Deutsche Börse) and Axioma, Inc. (Axioma) announced that Axioma has agreed to be acquired by Deutsche Börse for USD 850 million cash and debt free (around USD 820 million equity value) and will be combined with Deutsche Börse’s index businesses (STOXX® and DAX®) valued at EUR 2.6 billion.
Derivatives trading on EURO STOXX® Sector Indices has reached a record high at a time when shifts in macroeconomic conditions are set to influence the performance of the key banking industry.