There are several information displayed on sgindex.com about SGI indices, such as the description, the mechanism and the performances of our indices.
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The SG Index range of indices covers a wide scope of assets, including equities, interest rates, credit, commodities, and foreign exchange, which are either structured as cross-asset allocations or single-asset strategies. SG Index allows your to:
- Access the full range of flagship indices in Equity,Foreign Exchange, Credit, Rates and Cross Assets.
- Use user-friendly interface that helps you to find the information that you need on a specific index (launch date, performance, documentation...).
- Access all struvtured indices aiming to provide an adequate trade-off between liquidity and performance.
You can find your favorite indices in the \"My Space\" section by clicking on the Account icon.
The main objective of the SGI VI Beta 2 Index is to provide investors with an efficient instrument for equity hedging strategies, by taking an enhanced long exposure to the implied volatility of the S&P 500 Index through VIX futures, while mitigating the typical cost of carrying this position.
The SGI VI Beta 2 Index goes long VIX Futures according to an optimised roll strategy, which aims at exploiting the steepness of the forward curve of the VIX Index. It also applies a dynamic exposure algorithm in order to fully capture the short-term rise in the volatility of the S&P 500 Index and to mitigate the cost of carry in periods of market stability.