Summary
The STOXX Sector indices are available for global markets as well as for Europe, the Eurozone and Eastern Europe. Using the market standard ICB Industry Classification Benchmark, companies are categorised according to their primary source of revenue. This categorisation guarantees a professional and accurate classification of companies in their respective business environments. There are 11 Industries, 20 Supersectors, 45 Sectors, 173 subsectors. Additionally, three Supersectors indices namely Food and Beverage, Personal and Household Goods and Oil and Gas for EURO STOXX and STOXX Europe 600 and STOXX Global 1800 Industry Consumer Goods would be maintained as legacy indices to continue to capture the economy reality of the indices. These indices would be maintained with the same history, name and identifiers.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
SAP6REV
Calculation
Realtime
Dissemination Period
00:00-18:00 CET
ISIN
CH0462355238
Bloomberg ID
BBG00X0SZN51
Last Value
137.36
-1.67 (-1.20%)
As of
CETWeek to Week Change
-0.99%
52 Week Change
-24.42%
Year to Date Change
-22.09%
Daily Low
137
Daily High
138.26
52 Week Low
133.34 — 24 Oct 2022
52 Week High
184.18 — 8 Nov 2021
Top 10 Components
Goodman Group | Real Estate | AU |
Sun Hung Kai Properties Ltd. | Real Estate | HK |
Mitsui Fudosan Co. Ltd. | Real Estate | JP |
Link Real Estate Investment Tr | Real Estate | HK |
Mitsubishi Estate Co. Ltd. | Real Estate | JP |
KE HOLDINGS | Real Estate | CN |
CK Asset Holdings Ltd | Real Estate | HK |
Sumitomo Realty & Development | Real Estate | JP |
SCENTRE GROUP | Real Estate | AU |
WHARF REIC | Real Estate | HK |
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Low
High
Featured indices
STOXX® Global 1800
$502.06
+1.50
1Y Return
-11.11%
1Y Volatility
0.20%
STOXX® Europe 600
€455.24
+5.03
1Y Return
-1.08%
1Y Volatility
0.17%
STOXX® USA 500
$309.24
+4.49
1Y Return
-13.09%
1Y Volatility
0.24%
STOXX® Global Total Market
$247.2
+2.92
1Y Return
-10.30%
1Y Volatility
0.19%
STOXX® World AC All Cap
$7962.41
+30.94
1Y Return
-10.02%
1Y Volatility
0.19%