Sentences with phrase «global equity indices over»

Not exact matches

The result was sharp and sudden: a 70 % rise in the Volatility Index (VIX) over three days, a 2 % drop in global equities, and more than a few holidays disrupted.
Aviva Pension Alliance Trust Sustainable Future Absolute Growth S2 Aviva Pension Alliance Trust Sustainable Future Corporate Bond S2 Aviva Pension Alliance Trust Sustainable Future European Growth S2 Aviva Pension Alliance Trust Sustainable Future Global Growth S2 Aviva Pension Alliance Trust Sustainable Future Managed S2 Aviva Pension Alliance Trust Sustainable Future UK Growth S2 Aviva Pension Alliance Trust UK Ethical S2 Aviva Pension BlackRock Aquila 50:50 Global Equity Index Tracker S2 Aviva Pension BlackRock Aquila 60:40 Global Equity Index Tracker S2 Aviva Pension BlackRock Aquila 70:30 Global Equity Index Tracker S2 Aviva Pension BlackRock Aquila Consensus S2 Aviva Pension BlackRock Aquila Corporate Bond Index Tracker S2 Aviva Pension BlackRock Aquila European Equity Index Tracker S2 Aviva Pension BlackRock Aquila Japanese Equity Index Tracker S2 Aviva Pension BlackRock Aquila Over 15 years Gilt Index Tracker S2 Aviva Pension BlackRock Aquila Over 15 yrs Corp Bond Tracker S2 Aviva Pension BlackRock Aquila Over 5 yrs Index - Lkd Gilt Tracker S2 Aviva Pension BlackRock Aquila Overseas Eq Consensus Tracker S2 Aviva Pension BlackRock Aquila Pacific Rim Equity Index Tracker S2 Aviva Pension BlackRock Aquila UK Equity Index Tracker S2 Aviva Pension BlackRock Aquila US Equity Index Tracker S2 Aviva Pension Corporate Bond S2 Aviva Pension Deposit S2 Aviva Pension European Equity S2 Aviva Pension Gilt S2 Aviva Pension Global Bond S2 Aviva Pension Global Equity Income S2 Aviva Pension Global Equity S2 Aviva Pension Index Linked Gilt S2 Aviva Pension International Index Tracking S2 Aviva Pension Long Gilt S2 Aviva Pension Managed High Income S2 Aviva Pension Mixed Investment (0 - 35 % Shares) S2 Aviva Pension Mixed Investment (20 - 60 % Shares) S2 Aviva Pension Mixed Investment (40 - 85 % Shares) S2 Aviva Pension Pacific Equity S2 Aviva Pension Property S2 Aviva Pension Stakeholder With Profit 3 S2 Aviva Pension UK Equity S2 Aviva Pension UK Index Tracking S2 Aviva Pension US Equity S2
The EMI Global Equity Index declined by 0.4 % over the last twenty four hours with the year to date gain narrowing to 11.6 %.
The State Street Global Equity ex-U.S. Index Fund (the «Fund») seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a broad - based index of world (ex-U.S.) equity markets over the longEquity ex-U.S. Index Fund (the «Fund») seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a broad - based index of world (ex-U.S.) equity markets over the long Index Fund (the «Fund») seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a broad - based index of world (ex-U.S.) equity markets over the long index of world (ex-U.S.) equity markets over the longequity markets over the long term.
For instance, over the 24 months through 31 January 2018, EM assets delivered cumulative returns of 78.11 % for equities, 31.88 % for local bonds and 20.21 % for currencies (as proxied by the MSCI EM index for equities, JPMorgan GBI - EM Global Diversified Composite (Unhedged) index for local debt and JPMorgan ELMI + Composite for currencies).
Over the 14 — year period ending Feb. 28, 2017, the S&P Global Natural Resources Index, which is designed to provide market participants with an equity - based approach to natural resource investments through its three commodity - related sectors (agribusiness, energy, and metals & mining), has outperformed the S&P Global BMI by a monthly average of 36 bps in high - inflation months.
Designed to provide equity exposure to global small cap markets with potentially less volatility over a complete market cycle than traditional capitalization - weighted indices
The high yield market has had a positive correlation with equity markets for many years when comparing the percentage change in spreads (over Treasuries) for key high yield indices vs. the percentage change in level for equities, and this correlation has become even more pronounced since the global financial crisis.
Instead, it demonstrates the value of a small cap and value tilt in global equity markets, since over the same period a Simulated S&P 500 Index only had a return of 9.53 % (with no fees deducted), at a standard deviation of 19.19 %.
The company's flagship product offerings are: the MSCI indices which include over 148,000 daily indices covering more than 70 countries; Barra portfolio risk and performance analytics covering global equity and fixed income markets; RiskMetrics market and credit risk analytics; ISS governance research and outsourced proxy voting and reporting services; FEA valuation models and risk management software for the energy and commodities markets; and CFRA forensic accounting risk research, legal / regulatory risk assessment, and due - diligence.
a b c d e f g h i j k l m n o p q r s t u v w x y z