Tag Archives: inflation protection
S&P MAESTRO 5 Index: A Sophisticated Composition Designed to Simplify Risk Management
Get to know the S&P MAESTRO 5 Index, a diversified, multi-asset, multi-factor risk parity strategy designed to help investors hit the right notes across a range of market conditions.
- Categories Commodities, Equities, Factors, Fixed Income, Strategy
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- Commodities, Equities, Factors, Fixed Income, Strategy
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Capturing the Past, Present, and Future of Commodities with the S&P GSCI
After three decades of helping investors make more informed decisions and providing index-based access to diversification, liquidity, and inflation protection – what’s next for this index icon?
- Categories Commodities
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Concerned about Inflation? Here’s a Tip
The newly launched S&P GSCI (U.S. 10-Year TIPS) TR was designed with inflation protection in mind. This index takes the renowned broad commodity market benchmark, the S&P GSCI, and aims to add boosted return potential from an exposure to on-the-run U.S. 10-Year Treasury Inflation-Protected Securities (TIPS). Normally, the S&P GSCI TR includes the collateral yield…
- Categories Commodities, Fixed Income
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Gold Breaks Out to a New All-Time High as the U.S. Dollar Drops
Despite the drop in volatility in many asset classes over the summer, some broke through key support and resistance levels. The S&P GSCI Gold (TR) was one of them, reaching a new all-time high of USD 1,056.83 on Aug. 6, 2020, eclipsing the previous high from the summer of 2011. The underlying gold futures had…
- Categories Commodities, Equities
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Commodities – What to Watch for in 2020
In this blog post, we present five eclectic thoughts for commodity investors to ponder as we look forward to the New Year and the start of a new decade. S&P 500® versus S&P GSCI Similar to the 1990s, the last decade saw equities radically outperform commodities. Prior to that, the 2000s were more volatile, with…
- Categories Commodities
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- Commodities
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What a Portfolio Might Look Like After Adding a Pinch of Real Assets
In December 2015, S&P Dow Jones Indices launched the S&P Real Assets Index, the first index of its kind, which is designed to measure global property, infrastructure, commodities, and inflation-linked bonds, using liquid and investable component indices that track public equities, fixed income, and futures. The S&P Real Assets Index includes global infrastructure (35%), property…
- Categories Commodities, Fixed Income
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Commodities: A Deeper Dive Into the Five Potential Sources of Return
In a prior post, we listed five components of returns that commodities futures can provide. In this post, we will delve deeper into each component. Insurance risk premium, according to Keynes’s theory, is earned when a market participant rolls their futures position and the price of the next futures contract is discounted against market expectations…
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Commodities: Five Potential Sources of Return
Market participants have historically invested in commodity futures-based indices for their inflation protection and diversification benefits, given their low correlation to stocks and bonds. However, the returns earned from investing in commodities differ from those earned from traditional asset classes, in that commodities have no expected book value or expected cash flow, while a commodities’…
- Categories Commodities
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- Commodities
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Why This New Way To Invest In Oil In Hong Kong Matters
Now, there has been a long bull market where stocks have outperformed commodities for eight consecutive years, ending in 2015. It’s a record. If markets behaved just as they have in the past, then some investors might say it’s time to switch asset classes. However, the high correlation between risky assets experienced recently like during the…
- Categories Commodities
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- Commodities
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