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Core and Innovative Index Solutions

Core Index Solutions

Iconic, innovative benchmarks with breadth and depth across asset classes and geographies. This wide offering provides the building blocks to create further index solutions.

Equity
Families of indices for global and local markets, covering more than 20,000 securities in more than 83 countries with over 20 years of uninterrupted history
U.S. Equity
– Style
– Sector
– Industries
Global Equity
Developed Equity
Emerging Equity
Frontier Equity
Property & REIT
Shariah
Option Strategies
VIX (1)
Fixed Income
Broad market benchmarks measuring exposure to liquid fixed-income asset classes as well as less observable segments of the credit market
Composite / Global
Treasury / Sovereign / Quasi-Government
Inflation-Linked
U.S. Municipal
Money Market
Corporates
Thematics (Infrastructure, Faith-Based)
Collateralized
Preferred and Convertible
Senior Loan
Sukuk
Multi-Asset
Indices where the exposure to the multiple constituent asset classes is determined by specific outcomes or investment goals
Target Date
Target Risk
S&P STRIDE
Defined Outcome / Target Outcome
Dynamic Equity Assets
Managed Volatility
Risk Parity
MARC 5
Commodities
Includes the S&P GSCI, the first major investable commodity index
Broad Market
Sector & Single Commodity
Quantitative Strategies
Equity-based
Real Asset
Custom Solutions
S&P Dow Jones Indices’ custom services give clients the ability to create or tailor an index to reflect their unique needs
Custom index options include:
– Custom Slice & Dice
– Client Proprietary
– Custom Hybrid
Services include:
– Benchmark Administration
– Index Calculation
– Index Distribution
– Support

Innovative Index Solutions

New and emerging index solutions allow investors to identify and align with specific objectives and areas of focus, including sustainable investing, new asset classes and thematics, market indicators, and factor solutions.

ESG
A spectrum of Environmental, Social, and Governance (ESG) indices to help individuals and institutions align their investments with their values and achieve sustainable returns
Core ESG
ESG Climate
Thematic ESG
Fixed Income ESG
Factors
Indices measuring investment characteristics that have demonstrated historical return premiums and low intra-factor correlation, thereby enabling enhanced portfolio diversification, above-market returns, and risk management
Dynamic Beta
ESG Factor
Multi-Factor
Optimized Single Factor
Single Factor
Dividend Income
Quantitative Strategies
Alternative Risk Premia
Thematics / Kensho
Indices that measure macro-level trends and the underlying investments that stand to benefit from the materialization of those trends
New Economies
Commodity Producers
Infrastructure
Natural Resources
Corporate Clusters
Innovation Factors
Indicators
Indices that track changes in specialty indicators
S&P CoreLogic Case- Shiller(2)
S&P LinkUp Jobs® (3)
Consumer Credit Default
Risk Indicators
Digital Assets
Indices tracking the performance of cryptocurrencies including Bitcoin and Ethereum
Cryptocurrency
Notes:
(1)

VIX® is a trademark of Cboe Exchange, Inc.

(2)

Case-Shiller and Case-Shiller Indexes are registered trademarks of CoreLogic

(3)

LinkUp® is a trademark of JobDig, Inc.