Insights by Tag:

Multi-asset

Products
Citi expands vol control shelf with multi-asset plays

03 Dec 2025

Citi expands vol control shelf with multi-asset plays

The US bank is seeking to bring a proprietary equity/gold index with volatility target to US investors following offshore trades as gold price reaches an all-time high.

Products
Luma to power InspereX structured note distribution platform

03 Dec 2025

Luma to power InspereX structured note distribution platform

The US distributor will deploy Luma’s structured product technology through its newly launched Aria platform.

Products
Product wrap: MS tracks Intesa in France, Barclays deploys multi-asset Japan play

12 Apr 2024

Product wrap: MS tracks Intesa in France, Barclays deploys multi-asset Japan play

In this week’s wrap we look at a selection of structured products with strike dates between 7-13 April 2024.

Market
SRP Europe 2024: moving to a hybrid flavour

19 Mar 2024

SRP Europe 2024: moving to a hybrid flavour

Deleveraging, hybrid baskets and the impact of platforms on bespoke structured products.

Products
Exclusive: Research Affiliates moves on from BNPP partnership, debuts multi-asset index play

12 Dec 2023

Exclusive: Research Affiliates moves on from BNPP partnership, debuts multi-asset index play

The smart beta and asset allocation research company is targeting the indexed annuity space with its first multi-asset strategy.

Products
StructrPro: contingent income products

05 Jul 2023

StructrPro: contingent income products

Income paying structured products have long been popular in the US market.

Products
JPM expands Mozaic with multi-asset QIS decrement play

29 Sep 2022

JPM expands Mozaic with multi-asset QIS decrement play

The US investment bank has seen its Mozaic proprietary index gaining momentum in the Asia-Pacific market.

Events
SRP Apac 2022: capturing growth amid volatility with risk control

20 May 2022

SRP Apac 2022: capturing growth amid volatility with risk control

A panel comprising executives from a commercial bank, an asset manager and an index provider discussed the use of volatility control underlyings to diversify exposure across asset classes.