IndexS&P/BYMA CEDEAR Index
The S&P/BYMA CEDEAR Index seeks to measure the performance of foreign companies trading on the BYMA exchange as Argentinian Depositary Receipts (CEDEARs). The index seeks to represent 90% of the local liquidity by selecting the most liquid securities.
IndexS&P/BYMA Ingenius Index
The S&P/BYMA Ingenius Index seeks to track the performance of some of the world's best-known stocks in innovative GICS® sub-industries that trade on BYMA as CEDEARs (Argentinian Depositary Receipts), and have their primary listing in the U.S.
IndexDow Jones Internet Korea Tilted Index
The Dow Jones Internet Korea Tilted Index is designed to measure the performance of 50 of the largest companies classified as internet related, with a tilt toward the Korean market applied by including up to 10 Korea-domiciled constituents and allocating 20% weight to Korea-domiciled stocks.
IndexS&P Global Semiconductor Korea Tilted Index
The S&P Global Semiconductor Korea Tilted Index seeks to measure the performance of 50 companies in global semiconductor-related businesses, with 20% weight allocated to Korean stocks.
IndexS&P/CLX Ingenius Index
The S&P/CLX Ingenius Index is designed to measure the performance of some of the world's best-known stocks in innovative GICS® sub-industries that trade on the International Securities Market of the Santiago Exchange as foreign securities. These companies must meet eligibility criteria including high growth score, large float-adjusted market capitalization (FMC), and primary listing in the U.S.
IndexS&P/KRX Asia 100
The S&P/KRX Asia 100 Index offers investors exposure to the largest and most liquid stocks from China, Hong Kong, Korea, Singapore and Taiwan.
IndexS&P Global Ex-Japan LargeMidCap
Combining the S&P Global Ex-Japan LargeCap and S&P Global Ex-Japan MidCap indices, the S&P Global Ex-Japan LargeMidCap comprises the stocks representing the top 85% of float-adjusted market cap in each developed and emerging country excluding Japan. It is a subset of the S&P Global BMI, a comprehensive, rules-based index measuring global stock market performance.
IndexS&P Global Ex-Japan LargeMidCap Carbon Efficient Index
The S&P Global Ex-Japan LargeMidCap Carbon Efficient Index is designed to measure the performance of companies in the S&P Global Ex-Japan LargeMidCap, while overweighting or underweighting those companies that have lower or higher levels of carbon emissions per unit of revenue.
IndexDow Jones Best-in-Class Korea Index
The Dow Jones Best-in-Class Korea Index is designed to measure South Korean sustainability leaders as identified by S&P Global through the Corporate Sustainability Assessment (CSA).
IndexDow Jones Best-in-Class Korea Capped 25% Index
The Dow Jones Best-in-Class Korea Capped 25% Index is part of the Dow Jones Sustainability Index Series, which tracks stock performance of the world's leading companies in terms of economic, social, and environmental criteria.
IndexS&P/KRX Exchanges Index
The S&P/KRX Exchanges Index is comprised of the largest, most liquid publicly-traded stocks from companies whose primary business is to facilitate the trading of equities, fixed income securities, futures, options and other derivatives.
IndexS&P/KRX ESG Dividend Opportunities Index
The S&P/KRX ESG Dividend Opportunities Index seeks to measure the performance of the 50 highest dividend-yielding stocks within the KOSPI 200 that meet specific ESG and dividend sustainability criteria.
IndexS&P Korea Dividend Opportunities Index
The S&P Korea Dividend Opportunities Index is designed to serve as a benchmark for yield-seeking equity investors.
IndexS&P Colombia Sovereign Inflation-Linked Bond Index
The S&P Colombia Sovereign Inflation-Linked Bond Index is a comprehensive, market-value-weighted index designed to track the performance of Colombia peso-denominated inflation-linked securities publicly issued by the Colombian government for the domestic market.
IndexS&P Korea Low Volatility Index
The S&P Korea Low Volatility Index measures the performance of the 50 least-volatile stocks in the S&P Korea BMI.
IndexS&P Colombia Select Index
The S&P Colombia Select Index is designed to provide exposure to the largest and most liquid stocks domiciled in Colombia. The index uses a modified market cap weighting scheme, providing market participants with a broad, yet replicable index covering the Colombian equity market.
IndexS&P Colombia Dividend Index
The S&P Colombia Dividend Index is designed to measure the performance of the constituents of the S&P Colombia Select Index that have paid dividends for at least four years in the prior five-year period.
IndexS&P GIVI Japan
S&P GIVI® (Global Intrinsic Value Index) is a rules-based series designed to deliver both lower volatility and performance weighted by intrinsic stock value rather than by traditional market capitalization. This index, a sub-set of S&P GIVI Global, focuses on Japan.
IndexS&P Uganda Sovereign Bond Index
The S&P Uganda Sovereign Bond Index tracks the performance of local currency denominated sovereign debt publicly issued by the government of Uganda in its domestic market.
IndexS&P Japan BMI
The S&P Japan BMI, a sub-index of the S&P Global BMI, our leading global equity index series, is a comprehensive benchmark that defines and measures the investable universe of publicly traded companies domiciled in Japan.
IndexS&P Japan 500
The S&P Japan 500 is designed to represent the investable Japanese market. Index constituents are drawn from eligible companies listed in Japan and represent the large-, mid-, and small-cap components of the Japanese equity markets.
IndexS&P Japan 500 Equal Weight Index
The S&P Japan 500 Equal Weight Index (EWI) is the equal-weight version of the S&P Japan 500. The index is designed to measure the same constituents as the cap-weighted S&P Japan 500, but each company in the S&P Japan 500 EWI is allocated a fixed weight of 0.2% of the index total at each quarterly rebalance.
IndexS&P/JPX 500 ESG Score Tilted Index (2.0)
The S&P/JPX 500 ESG Score Tilted Index (2.0) is designed to measure the performance of constituents in the TOPIX 500 that meet sustainability criteria, while attempting to improve the overall S&P Global ESG Score with respect to the TOPIX 500 by over- or under-weighting companies based on their S&P Global ESG Scores.
IndexS&P/JPX 500 ESG Score Tilted Index (1.0)
The S&P/JPX 500 ESG Score Tilted Index (1.0) is designed to measure the performance of constituents in the TOPIX 500 that meet sustainability criteria, while attempting to improve the overall S&P Global ESG Score with respect to the TOPIX 500 by over- or under-weighting companies based on their S&P Global ESG Scores.
IndexS&P/JPX 500 ESG Score Tilted Index (0.5)
The S&P/JPX 500 ESG Score Tilted Index (0.5) is designed to measure the performance of constituents in the TOPIX 500 that meet sustainability criteria, while attempting to improve the overall S&P Global ESG Score with respect to the TOPIX 500 by over- or under-weighting companies based on their S&P Global ESG Scores.