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New Frontier U.S. Institutional Index
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New Frontier U.S. Equity Index
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About U.S. Multi-Asset Index Series
The New Frontier U.S. Multi-Asset Series is a family of two systematic-risk-level optimized U.S. indices, reflecting our investment mandates as calculated by S&P Dow Jones Indices. Index construction and management are powered by Michaud OptimizationTM and our other exclusive investment management technologies.
The New Frontier U.S. indices are optimized total return indices designed to capture market return among all domestically investable liquid asset classes. Comprised of a range of ~10-20 ETFs, the indices represent the performance of institutional-quality domestic risk-managed asset allocation portfolios with a focus on balancing risk and reward of market risk premia.
These indices track the investment activity of our U.S. Core ETF Portfolios 60/40 and all equity, launched in June 2019, The indices provide long-term investors with benchmarks to compare the performance of institutional-quality U.S. risk-managed core portfolios.
Real-time tracking of these indices is available on Bloomberg, the S&P and New Frontier websites, smartphones' "Stocks" apps, as well as on wearable devices.
The indices are not investable securities. Any investable security would have performance reduced by fees. Past performance does not guarantee future results. As market conditions fluctuate, any investment's investment return and principal value will change. Diversification may not protect against market risk.
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