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.
| Annualised return | +8.33% |
|---|---|
| Sharpe ratio | 0.70 |
| Calmar ratio | 0.36 |
| Volatility | 11.84% |
| 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.