Qontigo is a financial intelligence driver, modernizing investment management with our client partners.

Your view, uncompromised.

Qontigo combines the most sophisticated risk analytics and portfolio-construction tools in the market with globally recognized leadership in creating market-defining indices.

 

We partner with our clients to help them realize new investment strategies that push the boundaries for generating alpha in today’s changing investment landscape.

 

Bringing together Axioma, DAX and STOXX to form Qontigo represents a partnership beyond standard, creating an investment intelligence advantage with our clients, from risk to return.

 

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Key indices

Current performance from featured STOXX and DAX indices

All indices

EURO STOXX 50

EURO STOXX 50 ESG

DAX

DAX 50 ESG

EURO STOXX 50

EURO STOXX 50 ESG

STOXX Global 1800 Ax Momentum

STOXX USA 500

STOXX USA 500 ESG-X

Updated every 15 minutes during market hours.

Style factor performance

Track performance of top 3 and bottom 3 factors for the Axioma World Wide Model (AXWW4) over the past 3 months

More Data
Updated daily.

News & Research

Portfolio Risk Management

US Investors Slip into the Discomfort of the Neutral Zone

Sector ROOF scores in the US show that sentiment has been neutral for two weeks, after an unusually long bullish period. However, investors may return to their bullish outlook driven by fiscal stimulus and continued (seemingly indefinite) Fed action.

Portfolio Risk Management

Multi-Asset Class Risk Monitor Highlights | Week Ended September 25, 2020

Credit risk premia rise, as share prices continue to sink; Dollar appreciates as Europe frets; Portfolio risk surges, as FX/equity correlation intensifies.

ESG and Climate

Qontigo’s Bocquet: ‘Vital for Investors to Quantify Environmental Risks’

Qontigo’s new Global Head of ESG participated at a panel organized by Climate Action last week, entitled ‘Going beyond climate: managing environment risks.’

Portfolio Risk Management

Equity Risk Monitor Highlights | Week Ended September 24, 2020

September losses leave the US market relatively flat for the year; Short-term correlations spike in the US; US Momentum ticks up, as its volatility remains high.

Portfolio Risk Management

Qontigo ROOF™ Score Highlights: Week of September 28, 2020

Sentiment has now receded to the neutral zone for the US, Global Developed, UK, and Developed European markets according to at least one of our ROOF variants in each case, and for both variants in some (US in particular).

Blog Post

STOXX Global ESG Leaders Index: Methodology and Composition

A new whitepaper examines the methodology behind the benchmark of ESG corporate leaders and analyzes its composition following the latest annual review.

Portfolio Risk Management

Multi-Asset Class Risk Monitor Highlights | Week Ended September 18, 2020

Sovereign yields diverge across the Atlantic; Yen surges on safe-haven buying; Portfolio risk rises for the second week in a row.

Whitepaper

STOXX® Global ESG Leaders 2020 Annual Index Review Analysis

In this note, we take a look at the methodology behind the index, explore how its composition has changed over time and assess the impact of the 2020 annual index review.

Analytics

Axioma is the most sophisticated suite of quantitative risk analytics and portfolio-construction tools available.

We partner with clients to create solutions that adapt to their unique needs, powered by best-of-breed APIs and cloud-native technology.

Index

Our STOXX and DAX indices stand for quality, transparency and customization.

We have earned our reputation as the leading provider of European tradable indices thanks to an unsurpassed technology foundation.

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