Global Index Data

January 16, 2014

Selected Major Equity Indexes Sorted By YTD Returns

Source: IndexUniverse. All returns are in US dollars. 3- and 5-year returns are annualized. Data as of October 31, 2013.

 
Index Name 3-Mo YTD 12-Mo 3-Yr 5-Yr
ISE Global Wind Energy 16.55% 66.00% 74.40% 4.51% 1.37%
NASDAQ Biotechnology 3.83% 50.15% 56.39% 32.72% 24.46%
Dow Jones Internet 11.02% 40.48% 51.14% 19.47% 30.69%
S&P 500 Pure Value 7.82% 38.13% 47.03% 23.84% 23.93%
Wilshire US Micro Cap 4.38% 35.48% 35.92% 16.58% 18.33%
S&P Consumer Discr Select Sector 7.21% 35.13% 40.15% 23.84% 25.07%
S&P 500 Pure Growth 8.08% 35.08% 39.96% 19.04% 23.26%
Russell 2000 Growth 6.78% 34.89% 39.84% 19.00% 19.27%
S&P Small Cap 600 Growth 8.27% 34.45% 39.21% 21.12% 19.63%
Russell Microcap 5.45% 34.36% 38.72% 18.17% 16.74%
S&P Health Care Select Sector 3.88% 34.08% 34.58% 21.82% 16.99%
S&P SmallCap 600 7.38% 33.30% 39.08% 20.43% 18.41%
Dow Jones Transportation Average 8.30% 32.85% 39.26% 15.51% 14.46%
Russell 2000 Equal Weight 5.56% 32.78% 37.82% - -
S&P Small Cap 600 Value 6.51% 32.20% 39.01% 19.82% 17.25%
S&P Mid Cap 400 Pure Value 4.78% 32.08% 40.79% 18.43% 21.77%
CRSP US Small Cap Growth 6.71% 32.00% 37.07% - -
S&P Global 1200 Consumer Discr Sector 7.62% 31.87% 40.52% 18.48% 20.41%
CRSP US Small Cap 5.70% 31.41% 37.34% - -
Russell 2000 5.59% 30.90% 36.28% 17.69% 17.04%
CRSP US Small Cap Value 4.87% 30.88% 37.60% - -
First Trust Enh 130/30 Large Cap 6.98% 30.81% 34.21% 13.59% 14.98%
S&P Industrial Select Sector 8.29% 30.33% 36.33% 17.42% 17.15%
S&P Global 1200 Healthcare Sector 4.89% 29.89% 31.50% 19.37% 15.29%
CRSP US Mid Cap Value 5.55% 29.88% 34.07% - -
MSCI USA Value Weighted 4.61% 29.61% 33.15% 18.27% 16.82%
S&P 500 Equal Weight 5.49% 29.29% 34.14% 18.11% 20.12%
MSCI KLD 400 Social 5.17% 29.23% 31.80% 16.27% 15.29%
Russell 1000 Equal Weight 5.93% 29.21% 34.34% 18.23% 21.90%
CRSP US Mid Cap 5.40% 28.74% 33.99% - -
FTSE RAFI US 1000 4.19% 28.35% 31.67% 17.66% 19.00%
NASDAQ-100 9.68% 28.34% 29.49% 18.10% 21.61%
S&P MidCap 400 5.03% 27.81% 33.48% 17.55% 19.63%
CRSP US Mid Cap Growth 5.23% 27.52% 33.71% - -
S&P Mid Cap 400 Pure Growth 6.68% 27.33% 32.37% 18.67% 24.96%
Russell 2000 Value 4.38% 27.07% 32.83% 16.33% 14.84%
S&P Financial Select Sector 0.80% 26.95% 31.90% 14.24% 7.70%
Russell 3000 Growth 7.17% 26.88% 29.16% 16.98% 17.65%
Credit Suisse 130/30 Large Cap 4.32% 26.63% 26.90% 15.32% 14.06%
Russell 3000 5.10% 26.45% 28.99% 16.89% 15.94%
Russell 1000 Growth 7.21% 26.22% 28.30% 16.81% 17.51%
ISE Water 10.65% 26.15% 34.92% 19.34% 17.70%
Russell 1000 5.06% 26.08% 28.40% 16.83% 15.84%
RAFI Fundamental Large Value 2.46% 25.95% 29.89% 16.96% 15.85%
Russell 3000 Value 3.05% 25.85% 28.64% 16.73% 14.12%
ISE-REVERE Natural Gas 13.29% 25.85% 18.39% 5.92% 6.77%
Russell 1000 Value 2.94% 25.75% 28.29% 16.76% 14.06%
CRSP US Large Cap 4.93% 25.68% 27.75% - -
S&P Global 1200 Industrials Sector 9.22% 25.42% 32.56% 12.70% 15.74%
S&P 500 4.75% 25.30% 27.17% 16.55% 15.16%
CRSP US Mega Cap 4.83% 25.07% 26.54% - -
Russell Top 200 4.92% 24.95% 26.17% 16.57% 14.38%
MSCI EMU 13.18% 24.55% 33.36% 6.31% 9.91%
MSCI Japan 6.02% 24.31% 34.00% 8.18% 8.58%
S&P Consumer Staples Select Sector 3.15% 23.81% 23.28% 17.34% 14.95%
S&P Global 1200 Financials Sector 6.69% 23.22% 31.05% 9.74% 9.60%
RAFI Fundamental Large Growth 6.19% 23.14% 23.47% 14.57% 13.59%
MSCI EAFE US Dollar Hedged 6.56% 23.13% 30.75% 9.74% 10.27%
WisdomTree Dividend 3.75% 23.04% 23.85% 17.27% 14.94%
S&P Energy Select Sector 5.31% 22.79% 22.66% 15.57% 13.31%
Russell 2000 Low Volatility 3.68% 22.61% 24.99% 15.46% 14.37%
WisdomTree Equity Income 3.40% 22.49% 21.28% 17.58% 14.13%
MSCI USA Minimum Volatility 3.95% 22.13% 21.38% 16.84% 14.57%
S&P Global 1200 Telecom Sector 11.15% 22.08% 21.50% 9.51% 12.85%
WisdomTree DEFA Equity Income 12.31% 21.83% 27.23% 8.48% 11.85%
Dow Jones Industrial Average 0.90% 21.02% 21.82% 14.82% 13.91%
FTSE RAFI Developed Markets ex-US 11.32% 20.95% 27.83% 9.57% 19.27%
MSCI Frontier Markets 100 4.09% 20.85% 25.57% 3.35% 2.38%
S&P 500 Low Volatility 1.49% 20.77% 19.82% 16.46% 15.24%
WisdomTree Intl MidCap Dividend 10.66% 20.71% 28.91% 8.25% 14.76%
Russell 1000 Low Volatility 2.50% 20.55% 20.94% 11.95% 10.41%
MSCI EAFE 9.54% 20.05% 26.88% 8.38% 11.99%
S&P Global 100 5.73% 19.66% 23.09% 10.10% 10.54%
WisdomTree Intl LargeCap Dividend 10.57% 19.30% 24.88% 7.96% 10.85%
MSCI All Country World 7.11% 19.03% 23.29% 10.36% 13.47%
S&P Materials Select Sector 8.80% 18.80% 25.01% 10.69% 14.16%
S&P Global 1200 Cons Staples Sector 4.10% 18.76% 20.39% 14.53% 15.15%
WisdomTree Intl Div ex-Financials 12.23% 18.46% 22.61% 6.13% -
S&P Technology Select Sector 6.64% 18.15% 19.08% 13.51% 17.34%
S&P Global 1200 InfoTech Sector 8.00% 17.00% 20.83% 11.60% 15.90%
MSCI All Country World Min Volatility 3.83% 16.82% 16.58% 11.51% 12.71%
STOXX Europe 50 7.36% 15.78% 18.61% 8.81% 8.91%
FTSE RAFI Emerging Markets -2.12% 15.64% 17.88% -10.85% -6.65%
S&P Utilities Select Sector -0.25% 14.34% 9.49% 11.56% 10.53%
MSCI All Country World ex USA 9.34% 14.08% 20.29% 6.04% 12.48%
CBOE VIX Tail Hedge 1.55% 14.01% 13.92% 9.57% 10.66%
Dow Jones Global Select Dividend 10.82% 13.81% 14.85% 5.35% 12.86%
S&P Global 1200 Energy Sector 6.04% 13.54% 12.89% 9.23% 9.56%
S&P Global 1200 Utilities Sector 3.44% 13.45% -99.75% 3.01% 4.14%
CBOE S&P 500 BuyWrite 3.09% 9.51% 7.56% 8.34% 8.56%
S&P China BMI 11.62% 7.99% 15.53% 0.67% 17.62%
S&P Asia Pacific Emerging BMI 8.09% 7.44% 14.02% 3.40% 20.34%
FTSE RAFI Dev Asia Pacific ex-Japan 12.03% 7.43% 13.48% 8.61% 20.47%
Rogers-Van Eck Hard Assets Producers 7.37% 5.10% 6.99% 3.52% 11.45%
Cohen & Steers Realty Majors -0.56% 4.11% 7.20% 10.97% 13.68%
Wilshire US REIT -0.88% 3.96% 6.50% 8.27% 10.35%
MSCI Emerging Markets Min Volatility 5.77% 3.43% 8.19% 7.00% 19.94%
MSCI Emerging Markets Small Cap 6.65% 3.41% 10.29% -1.59% 21.60%
MSCI Emerging Markets Growth 9.91% 2.18% 9.06% 1.23% 15.70%
MSCI EM US Dollar Hedged 7.59% 2.16% 7.41% 0.88% 12.42%
S&P Global 1200 Materials Sector 10.15% 1.02% 6.18% -0.37% 11.73%
MSCI Emerging Markets 9.76% 0.29% 6.53% 0.30% 15.39%
MSCI BRIC 12.24% -0.57% 5.08% -3.92% 12.85%
Indxx Beyond BRICs 3.46% -0.61% 3.56% 0.77% 14.45%
S&P Mid-East and Africa BMI 11.90% -0.95% 6.82% 2.79% 15.67%
FTSE NAREIT All Mortgage Capped 0.62% -1.55% -5.74% 6.13% #DIV/0!
MSCI Emerging Markets Value 9.60% -1.71% 3.88% -0.69% 15.02%
CSI 300 8.50% -3.56% 7.92% -9.37% 9.07%
S&P Latin America BMI 9.15% -7.07% -2.47% -4.88% 14.21%
ISE Global Platinum 7.37% -12.31% -5.16% -24.91% 4.56%
Index Name 3-Mo YTD 12-Mo 3-Yr 5-Yr
  Source: IndexUniverse. All returns are in US dollars. 3- and 5-year returns are annualized.
Data as of October 31, 2013.

 

 

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