The Multi-Asset Infrastructure Index is a 50%/50% split between the Global Equity Infrastructure Index and the Global Bond Infrastructure Index. It provides investors with access to the full, publicly available infrastructure universe of 18 sectors in one trade. The Multi-Asset Indexes provide asset-class exposure to global equities, global fixed-income, commodities, and TIPS by using existing Morningstar indexes as allocation building blocks.
The Morningstar Lifetime Allocation Index series consists of 13 indexes available in three risk profiles: aggressive, moderate, and conservative. The five indexes in the Morningstar Target Risk Index series represent equity market risk levels ranging from aggressive to conservative. The Morningstar Multi-Asset index family also includes multi-asset high income, real asset, global allocation, and 529 college savings indexes.