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SGI VI Beta Short Term Index

Index level: 317.62 as of 09/19/2019

Graph

For comparison purpose Index level basis 100 as of

Statistics

1 M 6 M YTD 1 Y 3 Y
Cumulative Performance -4.49 % -10.67 % -28.55 % -11.04 % -34.90 %
Annualized Performance -11.04 % -13.33 %
Annualized Volatility +23.61 % +18.61 % +20.41 % +24.73 % +22.70 %
Sharpe Ratio -- --
Max Drawdown -9.62 % -12.27 % -29.15 % -31.74 % -35.02 %

The SGI VI Beta Short Term Index has been backtested since 11/12/2006 and calculated since 03/04/2013.
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 Index began publishing on April 3, 2013. Therefore, all data for the Index for the period prior to April 3, 2013 represent Standard & Poor's ("S&P"s) application of the Index methodology in order to reconstruct hypothetical historical data. Results during the period prior to April 3, 2013 may have been different(perhaps considerably) had the Index actually been in existence. The SGI Vol Invest Beta Short Term Index (the “Index”) is the property of SG, which has contracted with S&P Opco, LLC (a subsidiary of S&P Dow Jones Indices LLC) (“S&P Dow Jones Indices”) to maintain and calculate the Index. S&P® is a registered trademark of Standard & Poor’s Financial Services LLC (“SPFS”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); and these trademarks have been licensed to S&P Dow Jones Indices. “Calculated by S&P Dow Jones Indices Custom” and its related stylized mark(s) are service marks of S&P Dow Jones Indices and have been sublicensed for certain purposes by SG. Neither S&P Dow Jones Indices, SPFS, Dow Jones nor any of their affiliates shall be liable for any errors or omissions in calculating the Index.
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