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Indices

STOXX® Global Low Carbon Diversification Select 100

Summary

The STOXX Global Low Carbon Diversification Select 100 EUR Index captures the performance of low carbon emissions stocks with low correlation, low volatility and high dividends from the STOXX Global 1800 Index.

The component selection process first excludes all stocks that belong to the ICB Subsector 1771 (Coal), then selects in each ICB industry all stocks whose Carbon Intensity is the lowest. Next, it excludes all stocks with the highest 12-month average correlation with all other stocks in the benchmark, then excludes stocks whose 3- or 12-month historical volatilities are the highest. Among the remaining stocks, the 100 stocks with the highest 12-month historical dividend yields are selected to be included in the index. The percentage of exclusion/inclusion at each step is the same.

Those constituents are weighted according to the inverse of their volatility, with a cap at 10%. The indices are reviewed quarterly.

Index Guides, Benchmark statement, and other reports are available under the Data tab.

Symbol
SXW1CDSG
Calculation
End-of-day
Dissemination Period
22:15-22:15 CET
ISIN
CH0321940451
Bloomberg ID
BBG00D5KLYM9
Last Value
557.48 +2.57 (+0.46%)
As of 10:15 pm CET
Week to Week Change
1.62%
52 Week Change
0.98%
Year to Date Change
5.89%
Daily Low
496.87
Daily High
496.87
52 Week Low
493.5921 Oct 2022
52 Week High
567.2116 May 2023

Top 10 Components

SOFTBANK Telecommunications JP
ELISA CORPORATION Telecommunications FI
KPN Telecommunications NL
DANONE Food, Beverage and Tobacco FR
SWISSCOM Telecommunications CH
Coca-Cola Co. Food, Beverage and Tobacco US
HULIC Real Estate JP
ZURICH INSURANCE GROUP Insurance CH
NETLINK Telecommunications SG
FRONTIER RLST.INV. Real Estate JP
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