87 datasets found
  1. FTSE Fixed Income Indices - FTSE Indices

    • lseg.com
    Updated Nov 25, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    LSEG (2024). FTSE Fixed Income Indices - FTSE Indices [Dataset]. https://www.lseg.com/en/data-analytics/financial-data/indices/fixed-income-indices/third-party/ftse
    Explore at:
    csv,delimited,gzip,html,json,python,user interface,xml,zip archiveAvailable download formats
    Dataset updated
    Nov 25, 2024
    Dataset provided by
    London Stock Exchange Grouphttp://www.londonstockexchangegroup.com/
    Authors
    LSEG
    License

    https://www.lseg.com/en/policies/website-disclaimerhttps://www.lseg.com/en/policies/website-disclaimer

    Description

    View LSEG's FTSE Fixed Income Indices to gain benchmarking, analytics and data solutions for portfolio and asset management, and asset management.

  2. Fixed Income Indices

    • lseg.com
    Updated Feb 10, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    LSEG (2025). Fixed Income Indices [Dataset]. https://www.lseg.com/en/data-analytics/financial-data/indices/fixed-income-indices-data
    Explore at:
    csv,delimited,gzip,html,json,python,user interface,xml,zip archiveAvailable download formats
    Dataset updated
    Feb 10, 2025
    Dataset provided by
    London Stock Exchange Grouphttp://www.londonstockexchangegroup.com/
    Authors
    LSEG
    License

    https://www.lseg.com/en/policies/website-disclaimerhttps://www.lseg.com/en/policies/website-disclaimer

    Description

    Browse LSEG's Fixed Income Indices, discover our range of data, indices & benchmarks. Our Data Catalogue offers unrivaled data and delivery mechanisms.

  3. Fixed Income Assets Management Market Analysis North America, Europe, APAC,...

    • technavio.com
    Updated Mar 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Technavio (2025). Fixed Income Assets Management Market Analysis North America, Europe, APAC, South America, Middle East and Africa - US, Canada, China, UK, Germany, Japan, India, France, Italy, South Korea - Size and Forecast 2025-2029 [Dataset]. https://www.technavio.com/report/fixed-income-assets-management-market-analysis
    Explore at:
    Dataset updated
    Mar 15, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    Time period covered
    2021 - 2025
    Area covered
    Global, United States
    Description

    Snapshot img

    Fixed Income Assets Management Market Size 2025-2029

    The fixed income assets management market size is forecast to increase by USD 9.16 tr at a CAGR of 6.3% between 2024 and 2029.

    The market is experiencing significant growth, driven by increasing investor interest in fixed income securities as a hedge against market volatility. A key trend in this market is the expansion of bond Exchange-Traded Funds (ETFs), which offer investors liquidity, diversification, and cost savings. However, this market is not without risks. Transactions in fixed income assets involve complexities such as credit risk, interest rate risk, and liquidity risk, which require sophisticated risk management strategies. As global investors seek to capitalize on market opportunities and navigate these challenges effectively, they must stay informed of regulatory changes, market trends, and technological advancements. Companies that can provide innovative solutions for managing fixed income risks and optimizing returns will be well-positioned to succeed in this dynamic market.

    What will be the Size of the Fixed Income Assets Management Market during the forecast period?

    Request Free SampleThe fixed income assets market in the United States continues to be an essential component of investment portfolios for various official institutions and individual investors. With an expansive market size and growth, fixed income securities encompass various debt instruments, including corporate bonds and government treasuries. Interest rate fluctuations significantly impact this market, influencing investment decisions and affecting the returns from interest payments on these securities. Fixed income Exchange-Traded Funds (ETFs) and index managers have gained popularity due to their cost-effective and diversified investment options. However, the credit market volatility and associated default risk pose challenges for investors. In pursuit of financial goals, investors often choose fixed income funds over equities for their stable dividend income and tax savings benefits. Market risk and investors' risk tolerance are crucial factors in managing fixed income assets. Economic uncertainty and interest rate fluctuations necessitate active management by asset managers, hedge funds, and mutual funds. The fund maturity and investors' financial goals influence the choice between various fixed income securities, such as treasuries and loans. Despite the challenges, the market's direction remains positive, driven by the continuous demand for income-generating investments.

    How is this Fixed Income Assets Management Industry segmented?

    The fixed income assets management industry research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD tr' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments. TypeCoreAlternativeEnd-userEnterprisesIndividualsGeographyNorth AmericaUSCanadaEuropeFranceGermanyItalyUKAPACChinaIndiaJapanSouth KoreaSouth AmericaMiddle East and Africa

    By Type Insights

    The core segment is estimated to witness significant growth during the forecast period.The fixed income asset management market encompasses a diverse range of investment vehicles, including index investing, pension funds, official institutions, mutual funds, investment advisory services, and hedge funds. This asset class caters to income holders with varying risk tolerances, offering securities such as municipal bonds, government bonds, and high yield bonds through asset management firms. Institutional investors, insurance companies, and corporations also play significant roles in this sector. Fixed income securities, including Treasuries, municipal bonds, corporate bonds, and debt securities, provide regular interest payments and can offer tax savings, making them attractive for investors with financial goals. However, liquidity issues and credit market volatility can pose challenges. The Federal Reserve's interest rate decisions and economic uncertainty also impact the fixed income market. Asset management firms employ various strategies, such as the core fixed income (CFI) strategy, which invests in a mix of investment-grade fixed-income securities. CFI strategies aim to deliver consistent performance by carefully managing portfolios, considering issuer creditworthiness, maturity, and jurisdiction. Fixed income funds, including government bonds and corporate bonds, offer lower market risk compared to equities. Investors can choose from various investment vehicles, including mutual funds, ETFs, and index funds managed by active managers or index managers. Fixed income ETFs, in particular, provide investors with the benefits of ETFs, such as liquidity and transparency, while offering exposure to the fixed income market. Despite market risks and liquidity issues, the fixed income asset management market continues to be

  4. S

    Sweden Index: SSE: Fixed Income: OMRX: Real Return Bond

    • ceicdata.com
    Updated Jul 22, 2023
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com (2023). Sweden Index: SSE: Fixed Income: OMRX: Real Return Bond [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-real-return-bond
    Explore at:
    Dataset updated
    Jul 22, 2023
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Real Return Bond data was reported at 6,835.670 NA in Nov 2018. This records a decrease from the previous number of 6,857.130 NA for Oct 2018. Sweden Index: SSE: Fixed Income: OMRX: Real Return Bond data is updated monthly, averaging 5,736.280 NA from May 2005 (Median) to Nov 2018, with 163 observations. The data reached an all-time high of 6,879.360 NA in Aug 2018 and a record low of 4,209.980 NA in Apr 2006. Sweden Index: SSE: Fixed Income: OMRX: Real Return Bond data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  5. Data from: Fixed Income Instruments Pricing

    • lseg.com
    Updated Nov 25, 2024
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    LSEG (2024). Fixed Income Instruments Pricing [Dataset]. https://www.lseg.com/en/data-analytics/financial-data/pricing-and-market-data/fixed-income-instruments-pricing
    Explore at:
    bitmap,csv,delimited,gzip,json,pcap,parquet,python,sql,string format,user interface,xml,zip archiveAvailable download formats
    Dataset updated
    Nov 25, 2024
    Dataset provided by
    London Stock Exchange Grouphttp://www.londonstockexchangegroup.com/
    Authors
    LSEG
    License

    https://www.lseg.com/en/policies/website-disclaimerhttps://www.lseg.com/en/policies/website-disclaimer

    Description

    View LSEG's Fixed Income Instruments data, providing global coverage of debt instruments including pricing, indices, curves, league tables, and more.

  6. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bill

    • ceicdata.com
    Updated Jan 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com (2025). Sweden Index: SSE: Fixed Income: OMRX: Treasury Bill [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-treasury-bill
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEIC Data
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Treasury Bill data was reported at 3,157.230 NA in Oct 2018. This records a decrease from the previous number of 3,159.590 NA for Sep 2018. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bill data is updated monthly, averaging 3,155.480 NA from May 2005 (Median) to Oct 2018, with 162 observations. The data reached an all-time high of 3,233.700 NA in Mar 2015 and a record low of 2,762.990 NA in May 2005. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bill data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  7. D

    Bond Index Tester Market Report | Global Forecast From 2025 To 2033

    • dataintelo.com
    csv, pdf, pptx
    Updated Jan 7, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Dataintelo (2025). Bond Index Tester Market Report | Global Forecast From 2025 To 2033 [Dataset]. https://dataintelo.com/report/bond-index-tester-market
    Explore at:
    csv, pdf, pptxAvailable download formats
    Dataset updated
    Jan 7, 2025
    Dataset authored and provided by
    Dataintelo
    License

    https://dataintelo.com/privacy-and-policyhttps://dataintelo.com/privacy-and-policy

    Time period covered
    2024 - 2032
    Area covered
    Global
    Description

    Bond Index Tester Market Outlook




    The global Bond Index Tester market size was valued at approximately $1.2 billion in 2023 and is projected to reach around $2.1 billion by 2032, exhibiting a compound annual growth rate (CAGR) of 6.3% during the forecast period. One of the key growth factors driving this market includes the increasing focus on material testing and quality assurance across various industries. As industries such as mining, construction, and metallurgy strive to maintain high standards of quality and durability, the demand for accurate and reliable bond index testers is anticipated to rise significantly.




    Several growth factors contribute to the expanding Bond Index Tester market. First and foremost, the rising investments in infrastructure projects globally have fueled the need for robust material testing equipment. Governments and private sectors are increasingly focusing on ensuring the durability and longevity of infrastructure projects such as roads, bridges, and commercial buildings. This has led to a surge in demand for bond index testers, which are essential for evaluating the hardness and grindability of various construction materials. Additionally, stringent regulatory standards and guidelines related to material quality and safety have further propelled the adoption of bond index testers.




    Moreover, advancements in material science and technology have significantly enhanced the efficiency and accuracy of bond index testers. Modern bond index testers are equipped with advanced features such as automated testing processes, real-time data analysis, and improved precision. These technological advancements not only facilitate faster and more accurate testing but also reduce human errors and operational costs. As a result, industries are increasingly inclined towards adopting sophisticated bond index testers to ensure compliance with quality standards and improve overall productivity.




    Furthermore, the growing emphasis on sustainability and environmental conservation is another crucial factor driving the bond index tester market. Industries are becoming more conscious of the environmental impact of their operations and are adopting measures to minimize waste and optimize resource utilization. Bond index testers play a vital role in this regard by enabling companies to accurately assess material properties, thereby facilitating the efficient use of resources and minimizing waste generation. This trend is expected to continue driving the demand for bond index testers in the coming years.



    In the realm of financial investments, a Convertible Bond Fund offers a unique blend of fixed-income stability and equity growth potential. Convertible bonds are hybrid securities that provide investors with the option to convert their bonds into a predetermined number of shares of the issuing company. This feature allows investors to benefit from the upside potential of the company's stock while still enjoying the fixed interest payments typical of bonds. As the market for bond index testers continues to grow, investors may look towards Convertible Bond Funds as a way to diversify their portfolios, balancing the risks and rewards associated with both equity and fixed-income investments. The increasing interest in such funds is reflective of a broader trend towards more dynamic and flexible investment strategies that cater to varying market conditions and investor preferences.




    From a regional perspective, the Asia Pacific region is expected to witness substantial growth in the bond index tester market. The rapid industrialization and urbanization in countries such as China, India, and Japan have created a significant demand for construction materials and, consequently, material testing equipment. Additionally, the presence of numerous manufacturing facilities and research institutes in this region further contributes to the market growth. North America and Europe are also anticipated to experience steady growth due to the increasing focus on infrastructure renovation and the adoption of advanced testing technologies.



    Product Type Analysis




    The Bond Index Tester market can be segmented based on product type into Manual Bond Index Testers and Automatic Bond Index Testers. Manual bond index testers have traditionally dominated the market due to their lower cost and widespread availability. These testers are ofte

  8. Sweden Index: SSE: Fixed Income: OMRX: Total Market

    • ceicdata.com
    Updated Jan 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com (2025). Sweden Index: SSE: Fixed Income: OMRX: Total Market [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-total-market
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEIC Data
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Total Market data was reported at 6,013.390 NA in Nov 2018. This records an increase from the previous number of 5,992.700 NA for Oct 2018. Sweden Index: SSE: Fixed Income: OMRX: Total Market data is updated monthly, averaging 5,237.620 NA from May 2005 (Median) to Nov 2018, with 163 observations. The data reached an all-time high of 6,022.360 NA in Jun 2018 and a record low of 4,005.180 NA in May 2005. Sweden Index: SSE: Fixed Income: OMRX: Total Market data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  9. F

    Real private fixed investment: Residential (chain-type price index)

    • fred.stlouisfed.org
    json
    Updated Jun 26, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    (2025). Real private fixed investment: Residential (chain-type price index) [Dataset]. https://fred.stlouisfed.org/series/B011RG3Q086SBEA
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Jun 26, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-public-domainhttps://fred.stlouisfed.org/legal/#copyright-public-domain

    Description

    Graph and download economic data for Real private fixed investment: Residential (chain-type price index) (B011RG3Q086SBEA) from Q1 1947 to Q1 2025 about chained, fixed, investment, residential, private, real, GDP, price index, indexes, price, and USA.

  10. Sweden Index: SSE: Fixed Income: OMRX: Deposition Overnight

    • ceicdata.com
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com, Sweden Index: SSE: Fixed Income: OMRX: Deposition Overnight [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-deposition-overnight
    Explore at:
    Dataset provided by
    CEIC Data
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Deposition Overnight data was reported at 3,256.150 NA in Nov 2018. This records a decrease from the previous number of 3,257.550 NA for Oct 2018. Sweden Index: SSE: Fixed Income: OMRX: Deposition Overnight data is updated monthly, averaging 3,233.730 NA from May 2005 (Median) to Nov 2018, with 163 observations. The data reached an all-time high of 3,320.650 NA in Jan 2015 and a record low of 2,802.880 NA in May 2005. Sweden Index: SSE: Fixed Income: OMRX: Deposition Overnight data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  11. F

    Gross Private Domestic Investment: Fixed Investment: Nonresidential...

    • fred.stlouisfed.org
    json
    Updated Jun 26, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    (2025). Gross Private Domestic Investment: Fixed Investment: Nonresidential (chain-type price index) [Dataset]. https://fred.stlouisfed.org/series/A008RV1Q225SBEA
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Jun 26, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-public-domainhttps://fred.stlouisfed.org/legal/#copyright-public-domain

    Description

    Graph and download economic data for Gross Private Domestic Investment: Fixed Investment: Nonresidential (chain-type price index) (A008RV1Q225SBEA) from Q2 1947 to Q1 2025 about nonresidential, chained, fixed, investment, gross, domestic, private, GDP, rate, price index, indexes, price, and USA.

  12. F

    Fixed Income Assets Management Report

    • marketresearchforecast.com
    doc, pdf, ppt
    Updated Mar 9, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Market Research Forecast (2025). Fixed Income Assets Management Report [Dataset]. https://www.marketresearchforecast.com/reports/fixed-income-assets-management-30815
    Explore at:
    pdf, doc, pptAvailable download formats
    Dataset updated
    Mar 9, 2025
    Dataset authored and provided by
    Market Research Forecast
    License

    https://www.marketresearchforecast.com/privacy-policyhttps://www.marketresearchforecast.com/privacy-policy

    Time period covered
    2025 - 2033
    Area covered
    Global
    Variables measured
    Market Size
    Description

    The global Fixed Income Asset Management market, valued at $777.9 million in 2025, is projected to experience robust growth, driven by several key factors. The increasing complexity of financial markets and the need for sophisticated investment strategies are fueling demand for professional fixed income management services. Furthermore, a growing preference for passive investment strategies, particularly index funds and ETFs, is expanding the market. Regulatory changes aimed at enhancing transparency and investor protection are also contributing to market growth. The market is segmented by type (Core Fixed Income and Alternative Credit) and application (Enterprises and Individuals). While Core Fixed Income currently dominates, Alternative Credit is experiencing faster growth, driven by increased investor interest in higher-yield, less-correlated assets. Geographically, North America holds a significant market share, followed by Europe and Asia Pacific. However, emerging markets in Asia Pacific and the Middle East & Africa are expected to exhibit substantial growth potential in the coming years due to rising disposable incomes and increased financial literacy. Competition is intense, with established players like The Vanguard Group, PIMCO, and Fidelity facing challenges from both smaller boutique firms specializing in niche strategies and the rise of robo-advisors offering automated portfolio management. The market’s future success hinges on adapting to technological advancements, incorporating ESG considerations into investment strategies, and effectively managing risk in an increasingly volatile global economic environment. The forecast period (2025-2033) anticipates a steady expansion, fueled by continuous innovation within the fixed-income asset management sector. The 8.3% CAGR reflects the strong potential for growth, particularly within the Alternative Credit segment. Further growth will be driven by increasing institutional investor participation, the development of sophisticated risk management tools, and a heightened focus on sustainable and responsible investing. Despite challenges such as interest rate volatility and global macroeconomic uncertainty, the long-term outlook for the fixed-income asset management market remains positive. The continued evolution of financial technology (FinTech) and the increasing demand for personalized investment solutions will shape market dynamics. Successful players will need to prioritize customer experience, leverage data analytics, and demonstrate a strong commitment to transparency and ethical investment practices.

  13. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bond

    • ceicdata.com
    Updated Jan 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com (2025). Sweden Index: SSE: Fixed Income: OMRX: Treasury Bond [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-treasury-bond
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEIC Data
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Treasury Bond data was reported at 7,214.100 NA in Nov 2018. This records an increase from the previous number of 7,159.300 NA for Oct 2018. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bond data is updated monthly, averaging 6,081.000 NA from May 2005 (Median) to Nov 2018, with 163 observations. The data reached an all-time high of 7,278.780 NA in Aug 2016 and a record low of 4,460.180 NA in Jun 2006. Sweden Index: SSE: Fixed Income: OMRX: Treasury Bond data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  14. VALMER Indexes: Benchmarking Investment Portfolios

    • lseg.com
    Updated Feb 10, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    LSEG (2025). VALMER Indexes: Benchmarking Investment Portfolios [Dataset]. https://www.lseg.com/en/data-analytics/financial-data/pricing-and-market-data/fixed-income-pricing-data/futures-options-derivatives/valmer-indexes
    Explore at:
    csv,delimited,gzip,html,json,pcap,text,xml,zip archiveAvailable download formats
    Dataset updated
    Feb 10, 2025
    Dataset provided by
    London Stock Exchange Grouphttp://www.londonstockexchangegroup.com/
    Authors
    LSEG
    License

    https://www.lseg.com/en/policies/website-disclaimerhttps://www.lseg.com/en/policies/website-disclaimer

    Description

    Discover how VALMER indexes empower investors to build and maintain optimal portfolios, serving as reliable benchmarks for informed decision-making.

  15. k

    Global Impact Investing Market Size, Share & Industry Analysis Report By...

    • kbvresearch.com
    Updated Jul 21, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    KBV Research (2025). Global Impact Investing Market Size, Share & Industry Analysis Report By Investment Style, By Asset Class (Equity, Fixed income, Multi-asset, and Alternatives), By Investor Type (Institutional Investors and Retail Investors), By Offerings (Equity Offerings, Bond Funds, ETFs/Index Fund, and Alternatives/Hedge Funds), By Regional Outlook and Forecast, 2025 - 2032 [Dataset]. https://www.kbvresearch.com/impact-investing-market/
    Explore at:
    Dataset updated
    Jul 21, 2025
    Dataset authored and provided by
    KBV Research
    License

    https://www.kbvresearch.com/privacy-policy/https://www.kbvresearch.com/privacy-policy/

    Time period covered
    2025 - 2032
    Area covered
    Global
    Description

    The Global Impact Investing Market size is expected to reach $2.34 trillion by 2032, rising at a market growth of 7.5% CAGR during the forecast period. They focus on careful checks, measuring impact, and staying involved to make sure everything matches their goals. This way of working attracts inve

  16. GJT Synthetic Fixed-Income Securities Inc. Synthetic Fixed-Income Securities...

    • kappasignal.com
    Updated Feb 4, 2023
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    KappaSignal (2023). GJT Synthetic Fixed-Income Securities Inc. Synthetic Fixed-Income Securities Inc. Floating Rate Structured Repackaged Asset-Backed Trust Securities Certificates Series 2006-3 (Forecast) [Dataset]. https://www.kappasignal.com/2023/02/gjt-synthetic-fixed-income-securities.html
    Explore at:
    Dataset updated
    Feb 4, 2023
    Dataset authored and provided by
    KappaSignal
    License

    https://www.kappasignal.com/p/legal-disclaimer.htmlhttps://www.kappasignal.com/p/legal-disclaimer.html

    Description

    This analysis presents a rigorous exploration of financial data, incorporating a diverse range of statistical features. By providing a robust foundation, it facilitates advanced research and innovative modeling techniques within the field of finance.

    GJT Synthetic Fixed-Income Securities Inc. Synthetic Fixed-Income Securities Inc. Floating Rate Structured Repackaged Asset-Backed Trust Securities Certificates Series 2006-3

    Financial data:

    • Historical daily stock prices (open, high, low, close, volume)

    • Fundamental data (e.g., market capitalization, price to earnings P/E ratio, dividend yield, earnings per share EPS, price to earnings growth, debt-to-equity ratio, price-to-book ratio, current ratio, free cash flow, projected earnings growth, return on equity, dividend payout ratio, price to sales ratio, credit rating)

    • Technical indicators (e.g., moving averages, RSI, MACD, average directional index, aroon oscillator, stochastic oscillator, on-balance volume, accumulation/distribution A/D line, parabolic SAR indicator, bollinger bands indicators, fibonacci, williams percent range, commodity channel index)

    Machine learning features:

    • Feature engineering based on financial data and technical indicators

    • Sentiment analysis data from social media and news articles

    • Macroeconomic data (e.g., GDP, unemployment rate, interest rates, consumer spending, building permits, consumer confidence, inflation, producer price index, money supply, home sales, retail sales, bond yields)

    Potential Applications:

    • Stock price prediction

    • Portfolio optimization

    • Algorithmic trading

    • Market sentiment analysis

    • Risk management

    Use Cases:

    • Researchers investigating the effectiveness of machine learning in stock market prediction

    • Analysts developing quantitative trading Buy/Sell strategies

    • Individuals interested in building their own stock market prediction models

    • Students learning about machine learning and financial applications

    Additional Notes:

    • The dataset may include different levels of granularity (e.g., daily, hourly)

    • Data cleaning and preprocessing are essential before model training

    • Regular updates are recommended to maintain the accuracy and relevance of the data

  17. F

    Index of Yield of Fixed Interest Stocks for Great Britain

    • fred.stlouisfed.org
    json
    Updated Aug 20, 2012
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    (2012). Index of Yield of Fixed Interest Stocks for Great Britain [Dataset]. https://fred.stlouisfed.org/series/M1334AGBM324NNBR
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Aug 20, 2012
    License

    https://fred.stlouisfed.org/legal/#copyright-citation-requiredhttps://fred.stlouisfed.org/legal/#copyright-citation-required

    Area covered
    United Kingdom
    Description

    Graph and download economic data for Index of Yield of Fixed Interest Stocks for Great Britain (M1334AGBM324NNBR) from Jan 1919 to Oct 1930 about fixed, United Kingdom, yield, interest rate, interest, rate, and indexes.

  18. F

    Price Index for Private Fixed Investment: Residential: Structures: Other...

    • fred.stlouisfed.org
    json
    Updated Jun 26, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    (2025). Price Index for Private Fixed Investment: Residential: Structures: Other structures [Dataset]. https://fred.stlouisfed.org/series/A863RG3Q086SBEA
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Jun 26, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-public-domainhttps://fred.stlouisfed.org/legal/#copyright-public-domain

    Description

    Graph and download economic data for Price Index for Private Fixed Investment: Residential: Structures: Other structures (A863RG3Q086SBEA) from Q1 1958 to Q1 2025 about fixed, investment, residential, private, GDP, price index, indexes, price, and USA.

  19. S

    Sweden Index: SSE: Fixed Income: OMRX: Mortgage Bond

    • ceicdata.com
    Updated Jan 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    CEICdata.com (2025). Sweden Index: SSE: Fixed Income: OMRX: Mortgage Bond [Dataset]. https://www.ceicdata.com/en/sweden/omx-stockholm-stock-exchange-fixed-income-index/index-sse-fixed-income-omrx-mortgage-bond
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jul 1, 2017 - Jun 1, 2018
    Area covered
    Sweden
    Description

    Sweden Index: SSE: Fixed Income: OMRX: Mortgage Bond data was reported at 6,103.550 NA in Nov 2018. This records an increase from the previous number of 6,090.420 NA for Oct 2018. Sweden Index: SSE: Fixed Income: OMRX: Mortgage Bond data is updated monthly, averaging 5,314.230 NA from May 2005 (Median) to Nov 2018, with 163 observations. The data reached an all-time high of 6,113.120 NA in Aug 2018 and a record low of 4,100.480 NA in May 2005. Sweden Index: SSE: Fixed Income: OMRX: Mortgage Bond data remains active status in CEIC and is reported by Stockholm Stock Exchange. The data is categorized under Global Database’s Sweden – Table SE.Z002: OMX Stockholm Stock Exchange: Fixed Income Index.

  20. End-of-Day Pricing Data Netherlands Techsalerator

    • kaggle.com
    Updated Aug 23, 2023
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Techsalerator (2023). End-of-Day Pricing Data Netherlands Techsalerator [Dataset]. https://www.kaggle.com/datasets/techsalerator/end-of-day-pricing-data-netherlands-techsalerator/data
    Explore at:
    CroissantCroissant is a format for machine-learning datasets. Learn more about this at mlcommons.org/croissant.
    Dataset updated
    Aug 23, 2023
    Dataset provided by
    Kagglehttp://kaggle.com/
    Authors
    Techsalerator
    Area covered
    Netherlands
    Description

    Techsalerator offers an extensive dataset of End-of-Day Pricing Data for all 1003 companies listed on the Euronext Amsterdam (XAMS) in Netherlands. This dataset includes the closing prices of equities (stocks), bonds, and indices at the end of each trading session. End-of-day prices are vital pieces of market data that are widely used by investors, traders, and financial institutions to monitor the performance and value of these assets over time.

    Top 5 used data fields in the End-of-Day Pricing Dataset for Netherlands:

    1. Equity Closing Price :The closing price of individual company stocks at the end of the trading day.This field provides insights into the final price at which market participants were willing to buy or sell shares of a specific company.

    2. Bond Closing Price: The closing price of various fixed-income securities, including government bonds, corporate bonds, and municipal bonds. Bond investors use this field to assess the current market value of their bond holdings.

    3. Index Closing Price: The closing value of market indices, such as the Botswana stock market index, at the end of the trading day. These indices track the overall market performance and direction.

    4. Equity Ticker Symbol: The unique symbol used to identify individual company stocks. Ticker symbols facilitate efficient trading and data retrieval.

    5. Date of Closing Price: The specific trading day for which the closing price is provided. This date is essential for historical analysis and trend monitoring.

    Top 5 financial instruments with End-of-Day Pricing Data in Netherlands:

    Amsterdam Stock Exchange (AEX) Domestic Company Index: The main index that tracks the performance of domestic companies listed on the Amsterdam Stock Exchange. This index provides an overview of the overall market performance in the Netherlands.

    Amsterdam Stock Exchange (AEX) Foreign Company Index: The index that tracks the performance of foreign companies listed on the Amsterdam Stock Exchange. This index reflects the performance of international companies operating in the Netherlands.

    Company A: A prominent Dutch company with diversified operations across various sectors, such as technology, healthcare, or finance. This company's stock is widely traded on the Amsterdam Stock Exchange.

    Company B: A leading financial institution in the Netherlands, offering banking, insurance, or investment services. This company's stock is actively traded on the Amsterdam Stock Exchange.

    Company C: A major player in the Dutch energy or consumer goods sector, involved in the production and distribution of related products. This company's stock is listed and actively traded on the Amsterdam Stock Exchange.

    If you're interested in accessing Techsalerator's End-of-Day Pricing Data for Netherlands, please contact info@techsalerator.com with your specific requirements. Techsalerator will provide you with a customized quote based on the number of data fields and records you need. The dataset can be delivered within 24 hours, and ongoing access options can be discussed if needed.

    Data fields included:

    Equity Ticker Symbol Equity Closing Price Bond Ticker Symbol Bond Closing Price Index Ticker Symbol Index Closing Price Date of Closing Price Equity Name Equity Volume Equity High Price Equity Low Price Equity Open Price Bond Name Bond Coupon Rate Bond Maturity Index Name Index Change Index Percent Change Exchange Currency Total Market Capitalization Dividend Yield Price-to-Earnings Ratio (P/E) ‍

    Q&A:

    1. How much does the End-of-Day Pricing Data cost in Netherlands ?

    The cost of this dataset may vary depending on factors such as the number of data fields, the frequency of updates, and the total records count. For precise pricing details, it is recommended to directly consult with a Techsalerator Data specialist.

    1. How complete is the End-of-Day Pricing Data coverage in Netherlands?

    Techsalerator provides comprehensive coverage of End-of-Day Pricing Data for various financial instruments, including equities, bonds, and indices. Thedataset encompasses major companies and securities traded on Netherlands exchanges.

    1. How does Techsalerator collect this data?

    Techsalerator collects End-of-Day Pricing Data from reliable sources, including stock exchanges, financial news outlets, and other market data providers. Data is carefully curated to ensure accuracy and reliability.

    1. Can I select specific financial instruments or multiple countries with Techsalerator's End-of-Day Pricing Data?

    Techsalerator offers the flexibility to select specific financial instruments, such as equities, bonds, or indices, depending on your needs. While the dataset focuses on Botswana, Techsalerator also provides data for other countries and international markets.

    1. How do I pay for this dataset?

    Techsalerator accepts various payment method...

Share
FacebookFacebook
TwitterTwitter
Email
Click to copy link
Link copied
Close
Cite
LSEG (2024). FTSE Fixed Income Indices - FTSE Indices [Dataset]. https://www.lseg.com/en/data-analytics/financial-data/indices/fixed-income-indices/third-party/ftse
Organization logo

FTSE Fixed Income Indices - FTSE Indices

Explore at:
csv,delimited,gzip,html,json,python,user interface,xml,zip archiveAvailable download formats
Dataset updated
Nov 25, 2024
Dataset provided by
London Stock Exchange Grouphttp://www.londonstockexchangegroup.com/
Authors
LSEG
License

https://www.lseg.com/en/policies/website-disclaimerhttps://www.lseg.com/en/policies/website-disclaimer

Description

View LSEG's FTSE Fixed Income Indices to gain benchmarking, analytics and data solutions for portfolio and asset management, and asset management.

Search
Clear search
Close search
Google apps
Main menu