ILXQuant Global Market Index

The simplest argument for diversification -- own the world in proportion to its size. Blends global equities, bonds, and real assets across all major geographies without making active bets on any single market or region.

Index identifier
ILXGLMKT
Category
Allocation
Universe
US/Global ETFs (VTI, EFA, EEM, AGG, VNQ, GLD)
Currency
USD
Inception
2005-01-03
Rebalancing
Yearly
Index fee
0.10% p.a.
Reference benchmark
S&P 500 (SPY)

Performance and risk

All figures below are measured over a trailing window of up to 1,260 trading days (approximately five years), not since index inception.

Performance and risk — 2021-10-13 to 2026-08-13
Annualised return+8.33%
Sharpe ratio0.70
Calmar ratio0.36
Volatility11.84%
Maximum drawdown-22.99%
Return, 1 month+2.31%
Return, 3 months+1.93%
Return, 1 year+15.91%
Return, year to date+8.91%

Full performance history, drawdown analysis, rolling risk metrics and portfolio breakdowns for this index are available in the ILX Quant platform.