Understanding the S&P Managed Risk 2.0 Indices
General Market Analysis, Fixed Income, Investor Education, Equity Investments
Country or region:
Asia Pacific (Overall)
The S&P Managed Risk Indices provide a way for investors to gain exposure to a particular equity market while controlling the level of risk using a two-step risk management overlay.
This report qualifies for 0.5 CE under the guidelines of the CFA Institute Continuing Education Program.
We encourage CFA Institute members to login to the CE tracking tool to self-document these credits
Reference URL: https://spindices.com/documents/education/education-understanding-the-sp-managed-risk-2.0-indices.pdf
Date of original publication:
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