
Volos provides financial indexes and technology for institutional investors.
We specialize in indexes for options and derivatives strategies, providing transparency to this traditionally opaque asset class.

Technology for investors to access options and derivatives strategies that meet their investment needs.
Easy to trade & execute
Full Index transparency
No coding required
Performance data & analytics
API & excel exports

Investors use Volos Indexes to achieve meaningful portfolio objectives:
Hedging & Downside Protection
Income Generation
Asset Allocation
Volatility Control
Absolute Return
Risk Premia
Volos Indexes are transparent, reliable, and easily implementable.
Index governance & administration
Transparent, comprehensive methodologies
Used as benchmarks for ETFs, funds, SMAs, swaps, and other products.

Client and Solutions Focused
Volos Indexes help investors across the buy-side fully utilize derivatives strategies. Our indexes can help:
Asset Managers define their clients’ return outcomes and expand their offerings across SMAs and ‘40 Act products.
Insurance Companies efficiently reduce the cost of hedging market risks in variable and fixed-index annuity products.
Consultants, Pensions, Foundations, and Endowments identify and allocate to liquid, listed, and uncorrelated overlay strategies, without paying hedge-fund level fees.
Wealth Managers & Family Offices manage downside protection strategies for clients in-house, without having to sub-advise assets or build costly derivatives technology infrastructure.
