| Index Name | Number of Fund Constituents | Index Value |
| FTSE Hedge Index USD Monthly Official NAV | 18 | 4073.90 |
| FTSE Hedge Index Sterling Monthly Official NAV | 18 | 4300.34 |
| FTSE Hedge Index Euro Monthly Official NAV | 18 | 3901.58 |
| FTSE Hedge Momentum USD Index Monthly Official NAV | 17 | 5167.49 |
| FTSE Hedge Momentum EUR Index Monthly Official NAV | 17 | 5002.39 |
| FTSE Hedge Directional Index Monthly Official NAV | 8 | 2635.03 |
| FTSE Hedge Equity Hedge Index Monthly Official NAV | 2 | 1452.53 |
| FTSE Hedge CTA/Managed Futures Index Monthly Official NAV | 3 | 2034.86 |
| FTSE Hedge Global Macro Index Monthly Official NAV | 3 | 1937.55 |
| FTSE Hedge Non-Directional Index Monthly Official NAV | 6 | 2507.88 |
| FTSE Hedge Equity Arbitrage Index Monthly Official NAV | 3 | 1634.28 |
| FTSE Hedge Fixed Inc Rel Value Index Monthly Official NAV | 3 | 1816.43 |
| FTSE Hedge Convertible Arbitrage Index Monthly Official NAV | 1 | 1604.78 |
| FTSE Hedge Event Driven Index Monthly Official NAV | 4 | 2411.21 |
| FTSE Hedge Merger Arbitrage Index Monthly Official NAV | 2 | 1817.86 |
| FTSE Hedge Distressed & Opport Index Monthly Official NAV | 2 | 1490.81 |