S&p strategy. To see this strategy, you have to look beyond the S&P as a whole and divide it into component parts. The megacap S&P Index is even more exclusive than its sister index, with of the biggest companies constituting the narrower S&P But when you compare its results to the broader S&P.

S&p strategy

Two Strategies to Use When Trading Emini S&P

S&p strategy. To see this strategy, you have to look beyond the S&P as a whole and divide it into component parts. The megacap S&P Index is even more exclusive than its sister index, with of the biggest companies constituting the narrower S&P But when you compare its results to the broader S&P.

S&p strategy


The Strategy implements a screen of certain social or environmental criteria the "Screen". The Strategy is managed using a "passive" or "indexing" investment approach, by which SSGA attempts to match, before expenses, the performance of the Index.

Due to the nature of this particular strategy and asset class, it is unlikely SSGA will be able to invest in all of the securities comprising the Index, in approximately the same proportions as they are represented in the Index.

As such, SSGA will typically employ a sampling or optimization technique to construct the portfolio in question. SSGA may also utilize other pooled investment vehicles, including those managed by SSGA and its affiliates, as substitutes for gaining exposure to securities or a group of securities in the Index.

Securities may include common stocks, preferred stocks, depository receipts, or other securities convertible into common stock. The Strategy may purchase securities in their initial public offerings "IPOs". From time to time securities are added to or removed from the Index. SSGA may sell securities that are represented in the Index, or purchase securities that are not yet represented in the Index, prior to or after their removal or addition to the Index. The Strategy may at times purchase or sell index futures contracts, or options on those futures, or engage in other transactions involving the use of derivatives, in lieu of investment directly in the securities making up the Index or to enhance the Strategy's replication of the Index return.

The Strategy's return may not match the return of the Index. There are risks involved with investing, including possible loss of principal. If you're an existing client, but don't have access to the client site, please register. The website you are accessing is created and maintained by another entity. We make no representation or warranty with respect to the information contained on the site or that it is appropriate in all jurisdictions or countries, or for use by all investors or counterparties.

The products and services discussed at this site may not be appropriate for sale or use by all investors or counterparties. By providing this link, we are not providing you with investment advice or offering securities for sale to you. All persons and entities that access this site do so on their own initiative and are responsible for compliance with applicable local laws and regulations.

We're sorry, the page is not found. It may have been moved or retired. Please search or browse the site via the navigation above. Investment Strategy The Strategy is managed using a "passive" or "indexing" investment approach, by which SSGA attempts to match, before expenses, the performance of the Index. Key Facts Investment Center: Fixed Income Risk Return: Implementation Options Investment Vehicles: Title Period Publication Type.

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