Global market trends

Index name (returns in US#) Q1 20 12 months ended 3/31/20
Equity indexes
Dow Jones Industrial Average -22.73% -13.38%
MSCI EAFE (ND) -22.83 -14.38
MSCI Emerging Markets (ND) -23.60 -17.69
MSCI Europe (ND) -24.33 -15.50
MSCI World (ND) -21.05 -10.39
Nasdaq -10.29 7.03
Russell 1000 -20.22 -8.03
Russell 2000 -30.61 -23.99
Russell 3000 Growth -14.85 -0.44
Russell 3000 Value -27.32 -18.02
S&P 500 -19.60 -6.98
Tokyo Topix -16.67 -7.21
Fixed income indexes
BB Barclays Global Aggregate* -0.33 4.20
BB Government Bond* 8.08 13.08
BB Barclays Municipal Bond -0.63 3.85
BB U.S. Aggregate Bond* 3.15 8.93
BB Barclays U.S. Mortgage-backed Securities* 2.82 7.03
ICE BofA ML U.S. 3-month T-bill 0.57 2.25
CG World Government Bond ex-U.S. -1.88 1.79
JPMorgan Developed High Yield -14.19 -8.35
JPMorgan Emerging Markets Global Diversified -13.38 -6.84
JPMorgan Global High Yield -14.94 -8.95
S&P LSTA Loan -13.05 -9.13
Commodities
S&P GSCI -42.34 -41.01

*BB is an abbreviation for Bloomberg Barclays.

Indexes are unmanaged and do not incur expenses. You cannot invest directly in an index.

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Markets wrestle with policy versus the pandemic

April 8, 2020  |  Capital Markets Outlook

We are looking for progress in public health and credit market indicators as policy responds to the economic shock surrounding the pandemic and efforts to contain it.

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