The set of charts below delves into various aspects of these indices, comparing their performance, monthly returns, and the nuanced interplay of risk and return over the course of the year. Featuring visual representations of drawdowns and rolling 12-month volatility, this comparative study offers investors a detailed view of the performance dynamics characterizing these two key market benchmarks.
Read also
October 6
Jakota Markets: Past Week in Review September 30
Jakota Markets: September 22-26, 2025 September 26
Jakota Markets: September 15-19, 2025 September 16
Jakota Markets: September 8-12, 2025 September 8
Jakota Markets: September 1-5, 2025