Tag Archives: S&P MARC 5% ER
S&P MARC 5% ER 2018 Performance: Diversification and Allocation Provide Stability
Despite a rocky start and end to 2018 that negatively affected the performance of all the asset classes within the S&P MARC 5% Excess Return (ER) Index,[1] the index maintained a relatively stable performance throughout the year, although it ended the year in red. When you look at the asset classes in the S&P MARC…
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