Continue active refreshing of this index's data?

Continue active refreshing of this index's data?

Export PDF

DIVIDEND INDICES

STOXX Asia/Pacific Select Dividend 30

Components 1

Company Supersector Country Weight (%)
SITC Int. Hold. Industrial Goods and Services Hong Kong 9.18377
Mitsui O.S.K. Lines Ltd. Industrial Goods and Services Japan 6.87513
YANCOAL AUSTRALIA Energy Australia 6.696
Pacific Basin Shipping Ltd. Industrial Goods and Services Hong Kong 5.68761
JB Hi-Fi Ltd. Retail Australia 5.32647
WOODSIDE ENERGY GROUP Energy Australia 4.93758
Harvey Norman Holdings Ltd. Retail Australia 4.58933
FORTESCUE Basic Resources Australia 4.5455
NEW HOPE CORP. Energy Australia 4.11718
POWER ASSETS HOLDINGS LTD Utilities Hong Kong 3.38325
Japan Tobacco Inc. Food, Beverage and Tobacco Japan 3.13922
CLP Holdings Ltd. Utilities Hong Kong 2.8683
Bendigo & Adelaide Bank Ltd. Banks Australia 2.70642
Rio Tinto Ltd. Basic Resources Australia 2.68763
National Australia Bank Ltd. Banks Australia 2.60746
CAPTIALAND INT COMM TRUST Real Estate Singapore 2.56071
Henderson Land Development Co. Real Estate Hong Kong 2.49724
CAPITALAND ASCENDAS REIT Real Estate Singapore 2.1841
NIPPON STEEL Basic Resources Japan 2.17097
SUNCORP GROUP LTD. Insurance Australia 2.16779
Contact Energy Ltd. Utilities New Zealand 2.15201
JFE Holdings Inc. Basic Resources Japan 2.14052
DBS Group Holdings Ltd. Banks Singapore 2.1174
United Overseas Bank Ltd. Banks Singapore 2.07431
Suntec Real Estate Investment Real Estate Singapore 2.02627
Haseko Corp. Consumer Products and Services Japan 2.00191
Singapore Telecommunications L Telecommunications Singapore 1.91757
New World Development Co. Ltd. Real Estate Hong Kong 1.79188
Sun Hung Kai Properties Ltd. Real Estate Hong Kong 1.59408
XINYI GLASS HOLDINGS Industrial Goods and Services Hong Kong 1.25239
1Based on the last periodic review implementation