BNP Paribas Multi Asset Diversified 5 Index
Bloomberg Ticker
BNPIMAD5
BNPIMAD5
Asset Classes
Multi Asset
Multi Asset
Live Date
Jan 25, 2016
Jan 25, 2016
Volatility Target
5.0%
5.0%
Overview
The BNP Paribas Multi Asset Diversified 5 Index seeks to measure the performance of a diverse range of asset classes across several geographic regions. The index dynamically rebalances its weighting to these daily, based on momentum investing principles and subject to a certain level of volatility. In addition, the index includes a risk control mechanism which seeks to further reduce volatility and exposure to large drawdowns.
Key Features
- Covers geographic diversity representing three zones: the United States, Europe and Japan
- Offers eight underlying components 鈥 three equity futures indices, three bond futures indices and two commodity indices
- Seeks to identify an allocation to the components
- Uses a 5% risk control mechanism to reduce the impact of short-term volatile markets
Performance
Summary
Index Level: -
Year-to-Date
-
One Month
-
1 Year
-
2 Year
(annualized)
-
5 Year
(annualized)
-
10 Year
(annualized)
-
† Data sources listed below
Time Period
Market Scenario
-
-
Annualized: -