There are several information displayed on sgindex.com about SGI indices, such as the description, the mechanism and the performances of our indices.
Thanks to the search parameters offered by the sgindex.com website, you can filter the indices by asset class, category or region.
To find an index on the sgindex.com website, you can either enter the name of the index, its ticker or a theme word related to the index in the search bar.
To recover your password, simply go to the login section and click on “Forgot your password?” An email will be sent to your email address with a new temporary password.
For more detailed information about an index, please contact your Societe Generale contact person.
To add an index to your favorites, simply click on the star icon to add this product to your favorites.
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.
- Use user-friendly interface that helps you to find the information that you need on a specific index (launch date, performance, documentation...).
- Access all struvtured indices aiming to provide an adequate trade-off between liquidity and performance.
You can find your favorite indices in the \"My Space\" section by clicking on the Account icon.
The SGI Emerging Debt Long Short (SGI Emerging DLS) Index aims to capture the relative value of debt issued by emerging countries vs. developed ones via a dynamic exposure to a long/short basket.
The Emerging Debt Long Short (SGI Emerging DLS) investment process is based on 2 different pillars: - A long/short mechanism: Captures the difference in performance between emerging market debts and developed market debts by going long a Mutual Funds Basket (a selection of emerging markets bond funds) and shorting the Benchmark Debt Index Basket (bond indices from UK, US and Eurozone). The Mutual Funds Basket is selected itself by Lyxor Asset Management and will be reallocated on a quarterly basis. The objective of the Fund Selection is to find the funds that are expected to perform the best on the emerging debt market. - Risk control: Seeks to maintain volatility at a target level of 8% using a systematic risk monitoring mechanism. This strategy allows to fully benefit from a stable growth by being over exposed to the Underlying Basket in low volatility periods, while limiting the exposure in case of volatility above 8%.