The STOXX index range represents a standard set of basic and innovative indices with a consistent and globally applicable methodology
 

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Indices

New Launches

EUR (Price)
Gain

EURO STOXX® ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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EUR (Price)
Gain

STOXX® USA 900 ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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EUR (Price)
Gain

STOXX® USA 500 ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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EUR (Price)
Gain

STOXX® Japan 600 ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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EUR (Price)
Gain

STOXX® Global 1800 ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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EUR (Price)
Gain

STOXX® Europe 600 ESG Broad Market

1Y RETURN

N/A

1Y VOLATILITY

N/A

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Index Packages

Benchmark
Benchmark includes Total Market, Regional, Blue-Chip, Size (large/mid/small) and Sector indices
  • Basic
  • Basic Enhanced
  • Sector
  • Advanced & Theme
For more information please refer to Vendor Code Sheet. Visit Package Type column.
ESG
ESG includes ESG-X, ESG, ESG Leaders, Sustainability, Low Carbon and Climate indices
  • ESG
  • ESG Leaders
  • ESG-X
  • Low Carbon
  • Climate
For more information please refer to Vendor Code Sheet. Visit Package Type column.
THEMATIC
Thematic includes Megatrends (Demographics, Technology, Climate Change) including, Infrastructure, FinTech, Artificial Intelligence, 3D Printing, Women Leadership indices and more
  • RBICS Thematic
  • Megatrends
  • Global Transitions
  • Infrastructure
  • Artificial Intelligence
For more information please refer to Vendor Code Sheet. Visit Package Type column.
FACTOR
Factor includes Multi-Factor, Multi-Premia, Quality, Minimum Variance, Low Volatility, Momentum, and Value indices
  • Multi Factor
  • Single Factor
  • Minimum Variance
  • Factor ESG
  • Multi Premia
For more information please refer to Vendor Code Sheet. Visit Package Type column.

1 Year Trailing Annualized Performance by Region

EUR (Gross Return)
Gain

STOXX® Global 1800

1Y RETURN

18.19%

1Y VOLATILITY

28.06%

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EUR (Gross Return)
Gain

STOXX® Europe 600

1Y RETURN

10.74%

1Y VOLATILITY

27.64%

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USD (Gross Return)
Gain

STOXX® Asia/Pacific 600

1Y RETURN

28.52%

1Y VOLATILITY

21.7%

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USD (Gross Return)
Gain

STOXX® North America 600

1Y RETURN

34.08%

1Y VOLATILITY

34.19%

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