Access exclusive data and research, personalize your experience, and sign up to receive email updates.
RegisterAccess exclusive data and research, personalize your experience, and sign up to receive email updates.
Register
The S&P MARC 5% (Multi-Asset Risk Control) Index seeks to provide multi-asset diversification within a simple risk weighting framework, tracking three underlying component indices that represent three asset classes: equities, commodities, and fixed income. The Total Return version of the MARC 5% includes an interest rate on the cash outlay which is calculated using the Effective Fed Funds rate.
Top 10 Constituents by Index Weight
Full Constituents ListNo index-linked product details are currently available.
No index-linked product details are currently available.
This list includes investable products traded on certain exchanges currently linked to this selection of indices. While we have tried to include all such products, we do not guarantee the completeness or accuracy of such lists. Please refer to the disclaimers here for more information about S&P Dow Jones Indices' relationship to such third party product offerings.