Wilshire

  • 51-200 employees
  • Financial Services

Wilshire

Wilshire Indexes is a global benchmark platform that provides institutional investors, asset managers and retail intermediaries unmatched flexibility in solving benchmarking, portfolio construction, and risk management challenges.

Transforming the way investors use benchmarks to meet their objectives, Wilshire Indexes provides global coverage of the markets through the FT Wilshire 5000 Index Series, FT Wilshire Global Equity Series, FT Wilshire Pure Factor Index Series, FT Wilshire Climate Change Series, FT Wilshire Digital Asset Index Series as well the Global Asset Taxonomy System (GATS) — the most modern and fully representative industry and sector classification framework for benchmark construction.

At the core of our global benchmark platform is W+, a new portfolio modeling tool, enabled by versatile technology, rich data, and deep index expertise, that empowers clients to identify, model and analyze precise solutions rapidly and efficiently, and then easily implement their strategy at scale.

Combining new technology and modular products in a growth-aligned commercial model designed for collaboration, efficiency, and speed to market, Wilshire Indexes offers a completely new way to work with an index provider.

How Nonprofits Are Rebuilding Portfolios for Volatility, Liquidity, and Reality
  • 30 Mar 2026

Nonprofits are repositioning portfolios to balance real‑return goals with growing liquidity and spending demands.

Wilshire Weekly Market Report
  • 23 Mar 2026

Weekly Commentary

Wilshire’s Economic Cycle Indicator — Summary Measure of a Multitude of Economic Data
  • 18 Mar 2026

No one economic indicator can, by itself, offer even a partial view of the broad economy.

Wilshire Investment Strategy Update
  • 12 Feb 2026

For a comprehensive overview of our 2026 outlook and investment strategy, including insights on the current economic environment, interest rate implications, and our asset class strategy views, ple...

Wilshire Quarterly Alternatives Commentary - Fourth Quarter 2025
  • 10 Feb 2026

Quarterly Commentary

Asset Allocation Return & Risk Assumptions
  • 29 Jan 2026

Investment Research

The New Era of Private Credit
  • 22 Jan 2026

Yield, Risk and What Investors Need to Know in Today’s Market

Wilshire Alternatives 2026 Outlook
  • 09 Jan 2026

Navigating 2026: The Megatrends Shaping Tomorrow

Risk Budgeting, Part III: A Guide to Active Risk Budgeting
  • 08 Jan 2026

We outline five actionable steps and best practices to make risk budgeting a cornerstone of resilient portfolio management.