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Qontigo has licensed the EURO STOXX 50® Index to KBSTAR ETF, the ETF division of KB Asset Management to serve as an underlying for an ETF listed on the Korea Exchange.
The new listings respond to a global demand trend: smaller contract values offer a larger number of investors efficient access to the liquid derivatives market and enable more accurate hedging and trading strategies.
Lyxor this week celebrates 20 years since the launch of the EURO STOXX 50 UCITS ETF. To mark this anniversary, we caught up with Lyxor’s Arnaud Llinas, Head of ETF and Indexing, and Stephan Flaegel, Head of Indices and Benchmarks at Qontigo, to hear from them how indices and ETFs have underpinned a revolution that has transformed Europe’s financial landscape.
On Monday, Qontigo’s global index provider STOXX Ltd. announced a component change in the EURO STOXX 50 Index.
Study explores the liquidity and tradability differences between the ESG index and the flagship EURO STOXX 50 benchmark, and their impact on returns.
In this paper, we evaluate the EURO STOXX 50® ESG Index’s liquidity and tradability characteristics compared to its benchmark, and make an estimation of execution cost of switching from the benchmark to the index. We believe this analysis would be of interest to market participants given the recent launch of derivatives on the EURO STOXX 50® ESG Index, and to those with exposure to the EURO STOXX 50® that may be seeking a more sustainable flagship alternative.
Derivatives tied to the Eurozone index and its dividends have enabled traders to hedge their exposure to corporate payouts during this year’s uncertain times.
New futures and options are first-ever listed derivatives tracking a combined strategy of ESG exclusionary screens and ESG integration.
Futures and options are the first-ever listed derivatives with a combined strategy of ESG exclusionary screens and ESG integration.
In this paper, we analyze the performance of the EURO STOXX 50® ESG Index spanning the turbulent market conditions caused by the COVID-19 pandemic.
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