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The Investment Manager Index (IMI) is a survey-based indicator of sentiment derived from active fund managers at institutional investment firms and designed to provide a view of forward-looking investment appetite in U.S. equity markets. The monthly survey asks respondents for their subjective view on risk outlook and appetite over the next 30 days, market performance and key drivers, upside and downside risks, and sector outlooks.
Institutional investors are welcome to register to be survey respondents. As a participant, you will receive a monthly link to the questionnaire, which consists of 7 to 8 brief questions. In return, you will have access to the collective findings in a summary report each month and additionally to historical monthly reports.
The IMI surveys are compiled and published by S&P Global, combining the survey research and analytics expertise of its Economic Indices PMI team and the buy-side insights and relationships of its Perception Research team.
Complete and submit the form to participate.