Trusted benchmark solutions across asset classes and investment objectives?
Active and passive asset managers of all sizes and across all geographies trust FTSE Russell's benchmark, data and analytics solutions because we deliver a more accurate measure of world markets and investment strategies.
Asset managers rely on our solutions to create the best foundation for performance benchmarking and analysis, risk management, sustainable investment (SI) integration, research and market analysis. Product issuers choose to partner with FTSE Russell to help them develop their next-generation ETFs, index funds, structured products, derivatives, ETNs, UITs, CDs and more.
For more information about how we help index fund and ETF providers go to market with greater success, visit our Product Issuer page.
For timely insights and analysis across global markets to help you power your investment decisions, visit our Global Investment Research hub.
Key features
Why choose FTSE Russell?
Offering a precise measure of the market across asset classes and investment objectives
Providing the foundation for the next generation of funds and ETFs
Delivering a modular framework and robust datasets for market analysis
Built on a rigorous, published methodology
Featured solutions for asset management
Implement your investment objectives with confidence with our market-leading indices, services, and investment tools.
Case studies for asset management
Democracy-screened ESG emerging market government bond indices
FTSE Russell partnered with Swiss Federal Pension Fund PUBLICA to design a democracy filter for its ESG emerging market sovereign bond universe.
An index of quality-screened US investment-grade corporate bonds
The FTSE Goldman Sachs Investment Grade Corporate Bond Index provides broad coverage of US dollar bonds while eliminating the bottom decile of low-quality issuers.
A reference index for China’s offshore green bond market
The FTSE APAC-Select Investment-Grade Green Impact USD Bond Index helped PAAMC (HK) benchmark the returns of the Chinese and Asian investment grade offshore green bond market.
Incorporating climate considerations into a multi-factor equity index
See how we pioneered a solution to integrate factors and climate considerations into a broad-market, global, equity index strategy.
Implementing a multi-asset, green investment strategy
Our client was seeking a data model to help identify new investment opportunities and support regulatory reporting in its new multi-asset climate solutions fund.
Integrating climate risk in a global bond allocation
See how one of Japan’s largest asset managers selected the FTSE Climate Risk-Adjusted World Government Bond Index (“FTSE Climate WGBI”) as the underlying performance target for a new index fund.
Research and Insights
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