Russell Global Index: India Reflects Increased Correlation to U.S. Market
While the Russell China Index has correlated to the U.S. market at a relatively steady degree during the 14-year period from September of 1996 through September of 2010, staying within a range of 0.30 and 0.75, India's correlation to the Russell 3000 has increased more so since 2006, reaching a 0.80 correlation point in 2009.
The Russell Global Index includes more than 10,000 securities in 61 countries and covers 98% of the investable global market. All securities in the benchmark are classified according to size, region, country and sector. Daily Returns for the main components are available here: http://www.russell.com/indexes/data/daily_total_returns_global.asp
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Notes: Indexes are unmanaged and cannot by invested in directly. Returns represent past performance, are not a guarantee of future performance, and are not indicative of any specific investment. Russell's publication of the Indexes or Index constituents in no way suggests or implies a representation or opinion by Russell as to the attractiveness of investing in a particular security. Inclusion of a security in an Index is not a promotion, sponsorship or endorsement of a security by Russell and Russell makes no representation, warranty or guarantee with respect to the performance of any security included in a Russell Index. Russell Investment Group is a Washington, USA corporation, which operates through subsidiaries worldwide, including Russell Investments, and is a subsidiary of The Northwestern Mutual Life Insurance Company.
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Lauren Goble
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2012년 12월 18일 13:14