The S&P ESG Global Macro Series seeks to measure the performance of a multi-asset-class strategy with ESG-themed equity components and a risk control overlay. The S&P ESG Global Macro Index dynamically allocates to equities and fixed income across three regions based on economic and market trend signals.
Top 10 Constituents by Index WeightFull Constituents List
The weightings for each sector of the index are rounded to the nearest tenth of a percent; therefore, the aggregate weights for the index may not equal 100%.
Based on GICS® sectors