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Index | Thematic Investing
Q&A with SILEX: Ocean Care indices as targeted sustainability strategy for structured products
As the EURO iSTOXX Ocean Care 40 is named Index of the Year by SRP, we dive deeper into the drivers behind the launch of the thematic index. We talk to Céline Jaquelin, responsible for French Institutional Clients at SILEX, Qontigo’s partner in the design of the Ocean Care indices.
The STOXX Global 1800 index rose 2.7% in dollars last month, with basic-resources and energy companies leading gains for a second consecutive month. The benchmark is still down 5.5% for 2022.
Stocks rebounded in March from two months of losses, helped by expectations of a resolution to the war in Ukraine. Basic-resources and energy companies paced gains for a second consecutive month.
Index | Index / ETFs
Dividend index futures reflect lasting effect on European banks from Ukraine crisis
Futures on the EURO STOXX Banks Dividend Points Index are trading between 7.9% and 23% below their pre-war prices, depending on the maturity, even as equity prices recover. Traders have raised expectations that a slowing economy may hit lenders’ ability to continue or increase their payments to shareholders.
For years, factor investing has demonstrated its potential to outperform the general market.
Index | Thematic Investing
Ukraine crisis: Looking at recent market performance through a thematic investing lens
The war in Ukraine has hit the various business sectors in the equity market in different ways. In contrast, themes such as infrastructure, clean energy transition and cybersecurity have emerged as outperformers. A new whitepaper from Qontigo’s Applied Research team analyzes this divergent performance and what it says about asset-allocation approaches.
Index | ESG & Sustainability
Webinar: ESG fund labeling — ‘friend or foe’ of the sustainability transition?
On February 24, Qontigo and Responsible Investor hosted a webinar to discuss the state of play in Europe’s ESG fund labeling landscape. A panel of experts analyzed the aims of the labels, their intersection with broader European regulation, and what it all means for the ultimate goal of achieving a more sustainable economy.
Arun Singhal, joined The Podfolio podcast to discuss index investing, and the emergence of smart beta strategies that blur the line between active and passive approaches.
Index | Thematic Investing
Thematic investing in the current climate – A more focused approach to sustainable and future-proof investing
The Russian invasion of Ukraine spooked equity investors around the world, but losses were not distributed equally across all sectors, with some industries even exhibiting positive returns. This opens up opportunities for more focused strategies such as thematic investing.
As the outlook for Technology stocks appears uncertain, we look at the risk-management benefits for Korean investors of adding a little DAX exposure to a KOSPI portfolio.
Index | ESG & Sustainability
Aurubis, K+S to join DAX 50 ESG index; Daimler Truck enters DAX ESG Target
Changes were announced as part of the March regular review for the DAX 50 ESG, DAX ESG Target and DAX indices.
Index | Factor Investing
The diversification benefits of a multi-factor approach: the STOXX Europe 600 Industry Neutral Ax Multi-Factor Index
For the past 20 years, a multi-factor strategy as targeted by the STOXX Europe 600 Industry Neutral Ax Multi-Factor Index has fared extremely well, and much of that consistent performance can be traced to the benefit of diversifying across different sources of return premia.