S&P Dow Jones Indices Discover more about S&P Global’s offerings
Explore the vast array of offerings provided by S&P Global through the S&P Dow Jones Indices. From equity and fixed income to commodities and ESG strategies, S&P Global offers a comprehensive range of financial products and services to suit different investment needs. By delving into their indices, you gain access to valuable research and insights on a global scale. Stay connected and receive the latest updates by signing up for their newsletter. Discover the possibilities and potential of S&P Global’s offerings and maximize your investment opportunities.
S&P Dow Jones Indices – Discover more about S&P Global’s offerings
S&P Dow Jones Indices is a leading provider of financial market indices and analytics. Our company offers a wide range of services to help investors, wealth managers, and other financial professionals make informed decisions. With a strong focus on research, insights, and innovative solutions, we provide valuable resources for navigating the complex world of finance.
At S&P Dow Jones Indices, we pride ourselves on our expertise in creating and calculating indices that accurately measure the performance of various asset classes. With over a century of experience, we have built a strong reputation for delivering trustworthy and objective market data.
Our services span a wide range of areas, including equities, fixed income, commodities, dividends & factors, multi-asset, and more. We offer comprehensive research and insights to help investors understand market trends, identify opportunities, and manage risk effectively. Additionally, our indices provide a benchmark for measuring the performance of investment strategies.
Stay up to date with the latest news and developments in the financial industry through our media center. We provide timely and reliable information, including press releases, market commentaries, educational resources, and more.
Should you have any questions or inquiries about our services, please feel free to contact our dedicated customer support team. We are here to assist you and provide the information you need to make informed decisions in the financial markets.
Our indices are designed to accurately reflect the performance of various asset classes and provide investors with valuable insights and benchmarks for their investment strategies. Whether you are interested in equities, fixed income, commodities, dividends & factors, multi-asset, or other strategies, we have a comprehensive suite of indices to meet your needs.
Research & Insights
Access our research and insights to gain a deeper understanding of market trends and investment opportunities. Our team of experts analyzes market data, economic indicators, and company fundamentals to provide valuable insights that can inform your investment decisions.
We have cultivated strong relationships with exchanges around the world to ensure the accuracy and reliability of our indices. Through these partnerships, we are able to access comprehensive market data and collaborate with industry-leading experts to deliver cutting-edge solutions to our clients.
Our professional resources are tailored to the specific needs of wealth managers, insurance companies, institutional investors, and those involved in defined contribution plans. We provide industry-specific research, tools, and analytics to help these professionals navigate the complex financial landscape and make informed decisions on behalf of their clients.
Transparency and accountability are essential components of our governance framework. We adhere to strict regulatory standards and engage in regular consultations to ensure the integrity of our methodologies. Additionally, we actively engage with companies to promote responsible corporate practices and sustainable investing.
When it comes to investing, different asset classes offer unique opportunities and risks. Our indices cover a wide range of categories to help investors gain exposure to different markets and diversify their portfolios effectively.
Equity indices track the performance of equity markets, providing investors with insights into the overall performance of stocks and shares.
Fixed income indices measure the performance of bonds and other fixed-income securities. These indices can help investors gauge the performance of the bond market and make informed investment decisions.
Commodity indices track the performance of commodities such as gold, oil, and agricultural products. These indices allow investors to gain exposure to the commodity markets and diversify their portfolios.
Dividends & Factors
Dividend and factor indices focus on companies that have a history of paying dividends or exhibit specific characteristics such as value or growth. These indices can help investors target specific investment strategies.
Multi-asset indices combine different asset classes, such as equities, fixed income, and commodities, to create diversified portfolios. These indices offer a comprehensive view of the overall market performance.
Our indices also cover other investment strategies, such as minimum volatility, smart beta, and alternative investments. These indices provide investors with opportunities to explore different investment approaches and potentially enhance their returns.
ESG (Environmental, Social, and Governance) indices focus on companies that demonstrate strong sustainability practices and responsible corporate behavior. Investing in ESG indices allows investors to align their portfolios with their values and promote positive change.
Thematic indices focus on specific themes or trends, such as clean energy, robotics, or healthcare. These indices allow investors to capitalize on emerging industries or trends and potentially benefit from their growth.
Digital asset indices track the performance of cryptocurrencies such as Bitcoin and Ethereum. These indices provide investors with exposure to the growing digital asset market.
Indicators provide insights into market trends and investor sentiment. These indices can help investors make informed decisions based on market indicators such as volatility, momentum, or sentiment.
We also offer custom solutions for clients who require specific index calculations or benchmarks tailored to their unique needs. Our team of experts can work closely with clients to develop custom indices that align with their investment strategies.
Investing in different regions can provide diversification benefits and access to unique market opportunities. Our indices cover major regions around the world, allowing investors to gain exposure to various geographical markets.
Global indices provide insights into the overall performance of the global markets. These indices take into account equities, fixed income, commodities, and other asset classes from around the world.
Americas indices focus on the performance of markets in North and South America, including the United States, Canada, Brazil, Mexico, and other countries in the region. These indices offer investors exposure to the largest economies in the Americas.
European indices track the performance of markets in Europe, including the Eurozone and other European countries. These indices allow investors to gain exposure to diverse European markets and economies.
Middle East & Africa
Middle East & Africa indices cover the performance of markets in the Middle East and Africa region. These indices offer investors exposure to countries such as Saudi Arabia, South Africa, United Arab Emirates, and others in the region.
Asia Pacific indices focus on the performance of markets in the Asia Pacific region, including countries such as China, Japan, India, Australia, and others. These indices provide investors with exposure to the fast-growing economies in the region.
IHS MARKIT INDICES
In addition to our own indices, we also collaborate with IHS Markit to offer a comprehensive suite of indices covering various asset classes and regions.
iBoxx Bond & Loan Indices
iBoxx Bond & Loan Indices track the performance of fixed income securities, including both bonds and loans. These indices provide investors with insights into the bond and loan market and can be used as benchmarks for fixed income portfolios.
ESG/Sustainable indices focus on companies that demonstrate strong environmental, social, and governance practices. These indices allow investors to align their portfolios with sustainable investing principles.
Credit Default Swap Indices
Credit Default Swap (CDS) indices measure the performance of credit default swaps, which are financial instruments used to protect against the risk of default by a borrower. These indices provide insights into credit risk in the market.
Private Investment Benchmarks
Private Investment Benchmarks track the performance of private investments, including private equity, venture capital, and real estate. These benchmarks provide investors with insights into the performance of private markets.
See All IHS Markit Solutions
Explore the full range of solutions offered by IHS Markit, including indices, research, and analytics. These solutions can help investors make informed decisions and manage risk effectively.
At S&P Dow Jones Indices, we value strong relationships with exchanges around the world. These relationships ensure the accuracy and reliability of our indices and allow us to deliver industry-leading solutions to our clients.
Our exchange relationships are a crucial part of our operations. We work closely with exchanges to access comprehensive market data and collaborate on the development of innovative investment solutions.
In North America, we have strong relationships with major exchanges such as the New York Stock Exchange (NYSE), NASDAQ, and the Toronto Stock Exchange (TSX). These partnerships allow us to provide accurate and reliable indices for the North American market.
In Latin America, we work closely with exchanges such as B3 (Brazil), Mexican Stock Exchange (BMV), and Santiago Stock Exchange (BCS). These partnerships enable us to offer comprehensive indices for the Latin American market.
In Europe, the Middle East, and Africa (EMEA), we have partnerships with exchanges such as London Stock Exchange (LSE), Euronext, Deutsche Börse, and Johannesburg Stock Exchange (JSE). These relationships ensure the accuracy and reliability of our indices for the EMEA market.
In the Asia Pacific region, we collaborate with exchanges such as Tokyo Stock Exchange (TSE), Hong Kong Stock Exchange (HKEX), Shanghai Stock Exchange (SSE), and Australian Securities Exchange (ASX). These partnerships allow us to provide comprehensive indices for the Asia Pacific market.
Our professional resources are designed to meet the specific needs of wealth managers, insurance companies, institutional investors, and those involved in defined contribution plans.
Wealth managers require specialized research, tools, and solutions to effectively manage their clients’ assets. Our professional resources provide comprehensive insights and analytics tailored to the needs of wealth managers.
Insurance companies face unique challenges in managing their investment portfolios. Our professional resources offer industry-specific research and solutions to help insurance companies make informed investment decisions while meeting their regulatory requirements.
Institutional investors, such as pension funds and endowments, require sophisticated tools and analytics to manage their portfolios effectively. Our professional resources provide comprehensive insights and benchmarks for institutional investors.
Defined contribution plans, such as 401(k) plans, require tailored solutions to help participants make informed investment decisions. Our professional resources offer educational materials and tools to support participants in managing their retirement savings.
Governance is a critical aspect of our operations at S&P Dow Jones Indices. We adhere to strict regulatory standards and engage in regular consultations to ensure the integrity and transparency of our methodologies.
Transparency and accountability are fundamental principles in our governance framework. We are committed to conducting our operations in a fair, responsible, and ethical manner.
We comply with regulations imposed by financial authorities around the world. Our regulatory information provides details on our compliance programs, regulatory disclosures, and frameworks.
Our methodologies are the backbone of our indices. We follow rigorous processes and methodologies to ensure the accuracy, objectivity, and reliability of our indices.
Consulting with industry experts, market participants, and other stakeholders is a crucial part of our governance process. We actively seek feedback to ensure that our methodologies remain robust and reflect market best practices.
We actively engage with companies to promote responsible corporate practices and sustainable investing. By encouraging companies to adopt sustainable business practices, we aim to create a positive impact on the environment and society.
At S&P Dow Jones Indices, we utilize state-of-the-art processing capabilities to calculate and maintain our indices. Our sophisticated systems ensure the accuracy, timeliness, and reliability of our index data.
In conclusion, S&P Dow Jones Indices is a leading provider of financial market indices and analytics. We offer a comprehensive range of services, covering various asset classes and regions, to help investors make informed decisions. With a strong focus on research, insights, and governance, we ensure the accuracy and reliability of our indices. Whether you are an investor, wealth manager, insurance company, or institutional investor, our professional resources provide valuable insights and tools to support your investment strategies. Contact us today to discover how S&P Dow Jones Indices can help you navigate the complex world of finance.