Summary
The STOXX Asia AC ex China Large Cap Index is a broad market cap weighted index designed to represent the performance of the Large Cap companies from Asia excluding China covering approximately 70% of investable market capitalization. STOXX Asia AC ex China Large Cap Index is suitable for global investment products which include funds exchange traded funds and derivates and can also be used for further building block approach strategies when appropriate. It follows a robust and modular framework which enables investors to utilize this index for a variety of investment objectives whilst using a consistent approach. It is derived from STOXX World Equity Index series and its countries follow the STOXX World Country Classification Framework.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
SWAACLGV
Calculation
Realtime
Dissemination Period
00:00-22:15 CET
ISIN
CH1213340206
Last Value
5,832.7
+36.22 (+0.62%)
As of
CETWeek to Week Change
2.03%
52 Week Change
16.51%
Year to Date Change
12.41%
Daily Low
5788.39
Daily High
5853.3
52 Week Low
4589.46 — 13 Oct 2022
52 Week High
5926.21 — 19 Jul 2023
Top 10 Components
TSMC | Technology | TW |
Samsung Electronics Co Ltd | Telecommunications | KR |
Toyota Motor Corp. | Automobiles and Parts | JP |
Mitsubishi UFJ Financial Group | Banks | JP |
SONY GROUP CORP. | Consumer Products and Services | JP |
HDFC Bank Ltd | Banks | IN |
Reliance Industries Ltd | Energy | IN |
AIA GROUP | Insurance | HK |
Keyence Corp. | Industrial Goods and Services | JP |
Mitsubishi Corp. | Industrial Goods and Services | JP |
Zoom
Low
High
Featured indices
STOXX® ASEAN
$2315.36
-3.16
1Y Return
7.37%
1Y Volatility
0.11%
STOXX® Developed Europe Small Cap
$11508.04
-64.89
1Y Return
20.47%
1Y Volatility
0.22%
STOXX® Developed Nordic Large Cap
$14288.39
+98.92
1Y Return
28.73%
1Y Volatility
0.21%
STOXX® Developed Europe Telecommunications
$1034.04
+6.63
1Y Return
1.90%
1Y Volatility
0.19%
STOXX® Emerging Markets Consumer Staples
$2023.08
+18.12
1Y Return
4.08%
1Y Volatility
0.12%