Explore how the innovative design of the S&P BEF Index, including a dynamic response to risk and diversification across geographies and assets, influences risk/return.
Going Multi-Asset to Participate and Protect in Challenging Markets
Innovating for Insurance: S&P MARC 5% Index
S&P Dividend Aristocrats + Risk Control = Participation and Protection
How and Why S&P Dividend Aristocrats Work
Bringing Rules-Based Access to Sector Rotation
Explore how the innovative design of the S&P BEF Index, including a dynamic response to risk and diversification across geographies and assets, influences risk/return.
Explore the mechanics of a dynamic multi-asset strategy designed to protect on the downside while capturing greater potential for upside performance.
Explore how combining risk control with S&P 500 Dividend Aristocrats addresses volatility and influences return.
Explore how a focus on quality dividend growth influences risk/return and take a closer look at S&P Dividend Aristocrats's legacy of stability and strength.
Explore how the S&P 500 Sector Rotator Index blends time-tested Value and Momentum principles in a rules-based framework that takes sector rotation to the next level.