Manager Details

  • 1. Indexes

    A global index provider with local expertise in all major markets and across all asset classes that provides you with a true multi-asset index solution. For more information on our range of indexes, click above...

  • 2. Analytics

    Equity and fixed income decision support tools designed for advanced security, portfolio, industry, sector, index, and economic analysis. For more information on our Analytics tools, click above...

  • 3. Data solutions

    Robust data solutions across asset classes and geographies. Mergent, now part of FTSE Russell, has been a leading provider of business and financial information on public and private companies for more than a century. For more information on our Data solutions, click above...

Head Office
10 Paternoster Square
United Kingdom
Company website:

What’s new

  • Four factors fueling Europe’s ETF fixed income surge

    White papersThu, 11 Apr 2019

    ETF usage among institutional investors in Europe has been on the rise, and fixed income ETFs have been a key driver behind this growth. European institutions surveyed in a recent Greenwich Associates study indicated that fixed income ETFs as a percentage of their portfolios more than doubled from 2017 to 2018.1 As fixed income ETF inflows in Europe continue to pick up steam, we’ve identified four primary reasons behind this trend.

  • Blog | Index IDEA: The global equity bounce back

    Asset Manager NewsWed, 27 Mar 2019

    Following a challenging 2018 for equity markets around the world, global equity markets have bounced back in a major way thus far in 2019, helped by the rapid easing in global financial conditions led by the US Federal Reserve’s more accommodative policy stance.

  • China's retail investment market: Implications for minimum variance

    Asset Manager NewsMon, 25 Mar 2019

    Accessing the China A-Shares Market Via Minimum-Variance Investing (recently published in the Journal of Portfolio Management) explains how minimum variance strategies may work in historically volatile markets such as China.

  • Blog - Dynamic evolution in low carbon investing

    Blog | Deteriorating revenue and EPS growth outlook remains key market headwind

    Asset Manager NewsThu, 21 Mar 2019

    Despite broadly easing financial conditions, slowing global growth and pervasive geopolitical uncertainties pose greater hurdles for revenues and profits—and risk appetite—following the recent rally.

  • Accessing the China A-shares market via minimum-variance investing

    Accessing the China A-shares market via minimum-variance investing

    White papersThu, 21 Mar 2019

    In the last 10 years, the concept of the minimum-variance (MV) portfolio has successfully evolved from an academic topic of discussion to an implementable investment theme. Currently, a significant number of investment mandates or products have embraced the concept and allocated financial resources to MV investing. The concept of MV investing is applicable in a variety of geographical regions, but despite its wide applications, MV investing is still a relatively new topic in the China ...

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