Msci World Backtest May 2026

The index’s standard deviation, a measure of volatility, has also varied over time. The index’s standard deviation has ranged from 7.1% over 20-year periods to 15.1% over 1-year periods.

In conclusion, the MSCI World Index has historically delivered strong returns over various time periods and in different market conditions. The index’s average annual return has ranged from 7.4% over 1-year periods to 9.5% over 20-year periods. msci world backtest

To backtest the MSCI World Index, we will use historical data from 1970 to 2022. We will examine the index’s performance over various time periods, including 1-year, 5-year, 10-year, and 20-year periods. We will also examine the index’s performance in different market conditions, such as during periods of high inflation, low interest rates, and market volatility. The index’s average annual return has ranged from 7

The MSCI World Index is a free-float market capitalization-weighted index that tracks the performance of large-cap stocks from developed markets around the world. The index is calculated in real-time and is widely followed by investors and financial analysts. We will also examine the index’s performance in

Metric Value Average Annual Return 8.5% Standard Deviation 10.5% Sharpe Ratio 0.55 Sortino Ratio 0.

Similarly, during periods of low interest rates, the index has delivered strong returns, with an average annual return of 9.3% during periods of low interest rates (defined as interest rates below 2%).

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