The index rotates between long-tern US treasuries and high yield corporate bonds on a weekly basis based on a proprietary signal that considers the relative performance of large cap US equities and US utilities equities. The index is composed of US-listed ETF securities. It has been licensed to underlie financial products with currently USD 2.88 million in assets under management.
The index covers ETFs that represent US high yield corporate bonds and long term US Treasuries; at rebalance, the index may long 100% in one of these asset classes. More detailed rules can be found in the index guide.
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The index rotates between long-term US treasuries and US equities on a weekly basis based on a proprietary signal that considers the relative price performance of gold and lumber. The index is composed of US-listed ETF securities and may use leverage. It has been licensed to underlie financial products with currently USD 6.8 million in assets under management.
MarketVector™-GammaRoad U.S. Equity Strategy Index
The MarketVector™- GammaRoad U.S. Equity Strategy Index rotates in its exposure between US Equities and US Treasury Bills using US-listed exchange traded funds based on a methodology that was developed by GammaRoad Capital Partners, LLC.
The 21Shares Future of Crypto Index (21FOC) offers dynamic sector allocation by weighting assets based on market capitalization, targeting high-growth sectors within the crypto market. It applies caps, floors, and liquidity screening to ensure a balanced, evolving exposure to promising sectors.