Description

The index represents a portfolio made up of the S&P 500 Pure Value Excess Return Index and a liquid bond index. These two positions are dynamically rebalanced to target 6% volatility. Volatility is calculated as a function of historical returns. Volatility measures are used to deleverage quickly as well as to increase exposure when volatility decreases.


Characteristics


Constituents

Top 10 Constituents by Index Weight

Full Constituents ListFull Constituents List
  • Constituent
  • Symbol
  • Sector*


Sector Breakdown

Sector
Index Weight


Maturity Breakdown

Maturity Range
Index Weight


Rating Breakdown

Rating
Index Weight



CONTENT TYPE
DATES
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