CS ESG Macro 5 Index
The CS ESG Macro 5 Index , a global multi-asset index , applies an innovative strategy that combines environment, social and governance (ESG) equity components with macro components , while a risk control mechanism targets a 5% index volatility . The CS ESG Macro 5 Index uses a daily adjustment aimed at stabilizing performance and generating consistent returns over time. With the ESG component, your annuity has exposure to a risk-weighted basket of four MSCI ESG Indices that focus on regional activities considered positive for the environment, society, that are not subject to controversy and that display the highest ESG scores as computed by MSCI. The framework of the CS ESG Macro 5 Index uses diversification as an approach to create value for your annuity by seeking returns across various market environments while mitigating risk exposure.
Access to the CS ESG Macro 5 Index is exclusive to buyers of the Accumulation Protector Plus SM Annuity.
CS ESG Macro 5 Index
Equity
Fixed Income
Currencies
Commodities
Risk-weighted basket of four regional MSCI ESG indices
Dynamic exposure to a range of macro components based on trend and relative value signals:
26 developed and emerging market currency pairs
11 commodities spanning Energy, Base Metals and Precious Metals
US, Germany and UK Treasury Futures
To learn more about this index, please read the CS ESG Macro 5 Index brochure.
6
ACLAPPBR-OT 092223
Made with FlippingBook - Share PDF online