Summary
The STOXX Europe Low Risk Weighted indices represent the least volatile companies from the STOXX Europe 600 index. Constituents are selected on the basis of their 12-month historical volatility and weighted by the inverse of their 12-month historical volatility. The STOXX Europe Low Risk Weighted indices are fixed component indices, and are available with 100, 200 or 300 components.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
SXLV3GR
Calculation
End-of-day
Dissemination Period
18:00-18:00 CET
ISIN
CH0190732716
Bloomberg ID
BBG003FX5HS1
Last Value
277.15
-3.40 (-1.21%)
As of
CETWeek to Week Change
-1.24%
52 Week Change
12.03%
Year to Date Change
7.21%
Daily Low
277.15
Daily High
277.15
52 Week Low
233.25 — 12 Oct 2022
52 Week High
286.52 — 27 Jul 2023
Top 10 Components
KPN | Telecommunications | NL |
UNILEVER PLC | Personal Care, Drug and Grocery Stores | GB |
ORANGE | Telecommunications | FR |
ELISA CORPORATION | Telecommunications | FI |
HENKEL PREF | Consumer Products and Services | DE |
IBERDROLA | Utilities | ES |
DANONE | Food, Beverage and Tobacco | FR |
SWISSCOM | Telecommunications | CH |
NESTLE | Food, Beverage and Tobacco | CH |
BEIERSDORF | Personal Care, Drug and Grocery Stores | DE |
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Low
High
Featured indices
STOXX® International Equity Factor
€278.06
+0.05
1Y Return
11.43%
1Y Volatility
0.10%
STOXX® U.S. Equity Factor
€577.8
+2.14
1Y Return
5.69%
1Y Volatility
0.18%
STOXX® Global 1800 Ax Momentum
$273.85
-0.80
1Y Return
17.35%
1Y Volatility
0.15%
STOXX® Global 1800 ESG-X Ax Momentum
$271.21
-3.49
1Y Return
8.50%
1Y Volatility
0.16%
STOXX® Europe 600 Ax Size
€177.93
-1.21
1Y Return
12.03%
1Y Volatility
0.15%