Tag Archives: Volatility Management
Using Innovative Tools to Dynamically Manage Risk
Advances in volatility-based benchmarking have paved the way for the development of innovative tools for dynamically managing risk. Meet the S&P 500 Futures Edge Volatility Index Series, the next generation of volatility management benchmarks.
- Categories Multi-Asset
-
Other Tags
decrement indices, risk, risk management, S&P 500 Futures 35% Edge Volatility 6% Decrement Index, S&P 500 Futures 35% Edge Volatility Index, S&P 500 Futures 40% Edge Volatility 6% Decrement Index, S&P 500 Futures 40% Edge Volatility Index, S&P 500 Futures Edge Volatility Indices, S&P 500 Futures Index, target volatility, volatility
- Categories
- Multi-Asset
- Other Tags
- decrement indices, risk, risk management, S&P 500 Futures 35% Edge Volatility 6% Decrement Index, S&P 500 Futures 35% Edge Volatility Index, S&P 500 Futures 40% Edge Volatility 6% Decrement Index, S&P 500 Futures 40% Edge Volatility Index, S&P 500 Futures Edge Volatility Indices, S&P 500 Futures Index, target volatility, volatility
Meet the S&P 500 Dynamic Intraday TCA Index
Combining a trend-following mechanism with the ability to rebalance up to 13 times during the trading day, this innovative multi-asset index seeks to provide a more stable volatility experience by leveraging the next generation of risk control technology.
- Categories Multi-Asset
- Other Tags
A Dynamic Approach to Volatility Management
How can indices seek to maintain a pre-defined level of implied volatility? Look inside the S&P 500 Futures Defined Volatility Indices, a dynamic, rules-based approach to volatility management helping market participants align investments with risk appetites systematically.
- Categories Multi-Asset
- Other Tags
Examining the Effectiveness of Defensive Strategy Indices
What does history have to say about the effectiveness of factor indices as defensive tools? S&P DJI’s Craig Lazzara explores defense beyond bonds and how defensive factors influence risk/return in different market environments. https://youtu.be/Vrq3ERA_Was
How the S&P Managed Risk 2.0 Indices Dynamically Respond to Risk
Explore how a transparent, rules-based approach to risk management is designed to offer participation and downside protection with S&P DJI’s Tianyin Cheng. https://www.youtube.com/watch?v=M65z4NCARhg To learn more, read Tianyin’s latest blog, “The Trade-Off between Upside Participation and Downside Protection.”
- Categories Equities
- Other Tags
- Categories
- Equities
- Other Tags
