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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 |