Tag: MSCI
Belgian insurer partners with Goldman, tracks ESG benchmark
Europe | Products
22 Feb 2023 by Marc Wolterink
Ethias has returned to the Belgian market after an absence of 13 years.
Latest: MSCI targets US annuity market with new vol control indexes
International | Industry
17 Feb 2023 by SRP News
MSCI has announced a collaboration with Salt Financial to create risk-controlled index solutions for insurance companies using Salt's patent-pending truVol Risk Control Engine (RCE).
ESG series: MSCI – more than 50% of our indexes in Europe are ESG
International | Features
02 Feb 2023 by Pablo Conde
The index provider is the fastest growing providers of ESG underlyings to the retail structured products market over the last four years.
SRP in brief: push and pull
International | Industry
16 Jan 2023 by Amélie Labbe
We start the week with a look at activity in key Apac markets, and a new year push on ESG from a number of big European banks.
Product wrap: big tickets for MSCI-linked structures in France
International | Products
13 Jan 2023 by Marc Wolterink
In this week’s wrap we look at a selection of structured products with strike dates between 8-14 January 2023.
MSCI rolls out digital assets index suite, launches taxonomy framework with Goldman
International | Indices
07 Nov 2022 by Pablo Conde
The index provider is seeking to contribute to the creation of a ‘consistent and standardised’ framework to evaluate the digital assets market and create new products.
Latest: Cboe, S&P DJI partner to launch dispersion play
International | Industry
25 Oct 2022 by SRP News
The new index is the first strategy developed by Cboe’s new tradable products and services division, Cboe Labs.
Latest: StanChart debuts ESG structured note out of Taiwan
International | Industry
27 Sep 2022 by SRP News
Standard Chartered has launched the first ESG structured note issued in Taiwan.
Change of direction - risk management in focus
International | Features
15 Sep 2022 by Pablo Conde
The recent crash in the crypto market has brought attention to risk management and the need for broader market exposure to avoid the risk of overweighing on single names.