results found: 56

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Sep 21 2017

FA Talks: Custom Indexing in the Canadian Market

FA Talks is an interview series where industry thinkers share their thoughts and perspectives on a variety of market trends and themes impacting indexing.

Sep 19 2017

Talking Points: Better Disclosure of ESG Risks and Opportunities Will Unlock Capital for Sustainable Development and Green Finance

EU policymakers should be bold in implementing the recommendations of the Task Force on Climate-related Financial Disclosure (TCFD) as this will drive the availability of relevant, comparable, and consistent data for investment decisions.

Sep 14 2017

Talking Points: How Are Institutional Investors Using ETFs in Asia

Although selecting ETFs can be challenging due the wide variety of products, they can be used as tactical and strategic tools for asset allocation.

Sep 01 2017

FAQ: S&P/TSX 60 Dividend Points Index

What are dividend points and how are they tracked?

Aug 16 2017

Value: A Practitioner’s Guide

Investing in value stocks may be an easy concept to understand, but the actual methods used to capture value stocks is critical.

Jul 20 2017

Looking Beyond Traditional Benchmarks to Add Value in Emerging Markets

As emerging markets have grown in size and importance, emerging market equities have become a core part of many portfolio allocations.

Jul 12 2017

S&P MARC 5% Index

A Dynamic Multi-Asset Strategy

Jun 29 2017

How Indexing Impacts Shariah-Compliant Investing

Shariah-compliant investing has grown considerably in recent decades, as the Islamic investment community has demanded increasingly sophisticated investment solutions while, at the same time, adhering to the tenets of Islamic law

Jun 28 2017

Talking Points: Internal Carbon Pricing: Stress Testing Business for Climate Change Risk

Leading companies are using internal carbon prices to gain insight into how globally diverse operations could be affected by taxes and emissions trading—and identify opportunities to capitalize on the low-carbon transition.

Jun 13 2017

TalkingPoints: Sustainable Value Chains – Benefitting From a Wide Lens on Environmental Risk

Environmental risks, from regulatory costs and reputational damage to raw material shortages and supply disruption, are affecting all functions of the corporate value chain. Leading companies are increasingly taking a holistic view to identify a broader spectrum of low-carbon, resource-efficient business opportunities.

Jun 12 2017

Understanding the S&P Managed Risk 2.0 Indices

Whether as part of strategic core equity allocation or as a complement to or replacement of a more traditional buy-and-hold stock or bond allocation, the managed risk 2.0 approach offers a useful tool to help market participants as they seek to achieve long-term return goals while effectively managing risk.

Jun 08 2017

Why Does the S&P 500® Matter to Brazil?

The S&P 500 is a renowned benchmark for large-cap U.S. equities. The index is designed to measure 500 leading companies and captures approximately 80% coverage of investable market capitalization in the U.S. equity market.

Apr 28 2017

Talking Points - Multi-Asset, Shariah-Compliant Indices for the MENA Region

The S&P Pan Arab Shariah Balanced Indices are a series of multi-asset benchmarks that combine core MENA equity and sukuk components, allowing market participants to choose an allocation framework that best reflects their investment style.

Apr 21 2017

Dividend Strategy With Quality Yields— The Dow Jones U.S. Dividend 100 Index

Not only does the Dow Jones U.S. Dividend 100 Index seek to track stocks with consistent dividend payouts, but it also applies quality assurance for the sustainability of yields.

Mar 28 2017

Why Does the S&P 500® Matter to Japan?

The S&P 500 and the TOPIX are widely regarded as primary performance indicators for the U.S. and Japanese equity markets; however, the indices vary significantly due to the different economic landscapes and financial market developments they reflect.

Feb 10 2017

Looking at Natural Resources Through an Equity Lens

Natural resources as an asset class have appealed to investors for various reasons, the predominant of which are portfolio diversification and inflation protection.

Jan 12 2017

TalkingPoints: Introducing the Dow Jones U.S. Select Short-Term REIT Index

The Dow Jones U.S. Select Short-Term REIT Index seeks to track REITs in sectors that typically have short-term lease durations, with the goal of creating a REIT index that is less sensitive to interest rate changes.

Jan 11 2017

S&P U.S. Retiree Spending Index Brochure

Tracking the Boomers... and Beyond

Dec 29 2016

Is Smart Beta Possible in Africa?

Alternatively weighted—or smart beta—strategies are among the fastest-growing and hottest investment topics. They range from the basic concepts of equal-weighted indices to dividend-yield-weighted strategies and the more exciting multi-factor indices we are seeing today.

Dec 29 2016

Understanding ESG Investing

Sustainable investing is one of the fastest-growing segments of the asset management industry.

Dec 29 2016

TalkingPoints: The Dow Jones Emerging Markets Consumer Titans 30 Index

Learn about tapping into the growth of the emerging market consumer with the Dow Jones Emerging Markets Consumer Titans 30 Index.

Dec 02 2016

TalkingPoints: The S&P New China Sectors Index

Take a look at how the S&P New China Sectors Index helps market participants see China’s changing economy in a novel way.

Oct 20 2016

What Does an Election Year Mean for the Market?

It’s An Election Year — What Does This Mean For The Market?

Oct 12 2016

Practice Essentials - Three Reasons To Consider Index Funds

Index-based investing involves choosing investment products that track or mirror a market or segments of a market, such as the S&P 500® and S&P/ASX 200.

Oct 05 2016

FA Talks: Innovation - The Engine for Business Growth

Shaun Wurzbach, Global Head of Financial Advisor Channel Management, S&P Dow Jones Indices (S&P DJI), chatted with Roger Scheffel and David Abrams of WST Capital Management about how innovation in the application of indices and exchange-traded funds (ETFs) led to a new and growing business division for Wilbanks, Smith & Thomas Asset Management.

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