ARMRINDEX Armor US Equity Index

The index is designed to provide exposure to the sectors of the US equity market that the fundís index provider believes are most likely to generate positive returns while aiming to provide downside protection and lower volatility. Individual sectors of the US equity market are evaluated utilizing a proprietary, rules-based market performance indicator (MPI) to select sectors which may offer strong, long-term performance potential with lower expected downside risk and volatility. Only sectors which score well based on the MPI are included in the index. If no sectors appear attractive based on this metric, the index will invest primarily in US Treasury obligations. ARMR rebalances monthly to ensure current market, economic, and financial conditions are incorporated into the construction of the portfolio.

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As of 09/25/2022


Index Information
Provider:     Armor Index
Category1:  US Equity
Category2:  Broad market
Category3:  Large cap
Currency:    USD
Inception date:  01/01/1900
Backtesting data exists:  
Weighting methodology:   Other
Rebalanced:  Monthly

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