MSCI EAFE Regional Select Mean Reversion 10% Risk Control Index
The MSCI EAFE Regional Select Mean Reversion 10% Risk Control Index aims to represent the performance of the MSCI EAFE Regional Select Mean Reversion Index, while targeting an annualized volatility of 10%. It dynamically adjusts exposure to the EAFE regional select mean reversion index aiming to maintain a stable risk profile.
Data as of July 31, 2026
* For ESG objective information, please see this page