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The SG Index range of indices covers a wide scope of assets, including equities, interest rates, credit, commodities, and foreign exchange, which are either structured as cross-asset allocations or single-asset strategies. SG Index allows your to:
- Access the full range of flagship indices in Equity,Foreign Exchange, Credit, Rates and Cross Assets.
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- Access all struvtured indices aiming to provide an adequate trade-off between liquidity and performance.
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|1 M||6 M||YTD||1 Y||3 Y|
|Cumulative Performance||+0.30 %||-7.81 %||-7.75 %||-11.95 %||-17.52 %|
|Annualized Performance||-11.95 %||-6.22 %|
|Annualized Volatility||+6.56 %||+13.10 %||+13.04 %||+9.48 %||+6.08 %|
|Max Drawdown||-1.98 %||-14.14 %||-14.14 %||-16.24 %||-23.57 %|
The SGI Credit Compression Europe Index has been backtested since 22/06/2004 and calculated since 29/01/2018.
THE FIGURES RELATING TO PAST PERFORMANCES AND SIMULATED PAST PERFORMANCES REFER OR RELATE TO PAST PERIODS AND ARE NOT A RELIABLE INDICATOR OF FUTURE RESULTS. THIS ALSO APPLIES TO HISTORICAL MARKET DATA.
The SGI Credit Compression Europe Index is administered and calculated by Markit. For more information, see www.markit.com.
Markit makes no representation and expressly disclaims all warranties of accuracy, merchantability or fitness for a particular purpose or use with respect to SGI Credit Compression Europe Index or any data included therein, or any data from which it is based or as to results to be obtained from the use of the SGI Credit Compression Europe Index . Markit does not sponsor, endorse, sell, or promote any investment fund or other vehicle that is offered by Societe Generale or third parties and that seeks to provide an investment return based on the returns of the SGI Credit Compression Europe Index .