Summary
The STOXX® Emerging Markets ex PK Select 100 EUR & USD indices measure the performance of stocks with low risk in terms of low volatility and high dividend yield from a pool of Emerging Markets excluding Pakistan. The index family is derived from the STOXX® Emerging Markets 1500. The components are weighted by the inverse of the volatility.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
EMXPSEGV
Calculation
End-of-day
Dissemination Period
22:30-22:30 CET
ISIN
CH0375115174
Last Value
658.31
-1.23 (-0.19%)
As of CET
Week to Week Change
1.48%
52 Week Change
31.93%
Year to Date Change
3.40%
Daily Low
658.31
Daily High
658.31
52 Week Low
458.01 — 9 Apr 2025
52 Week High
699.8099 — 26 Feb 2026
Top 10 Components
| TISCO FINANCIAL GROUP | TH |
| DIGITAL TELECOM.IFCF. | TH |
| Malayan Banking Bhd | MY |
| ICBC H | CN |
| Bank of Communications Co 'H' | CN |
| BANK OF CHINA 'H' | CN |
| NEPI ROCKCASTLE | ZA |
| Sanyang Industry | TW |
| SCB X PUBLIC COMPANY LIMITED | TH |
| CHINA CITIC BANK 'H' | CN |
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Low
High
Featured indices
STOXX® International Equity Factor - EUR (Price Return)
€379.79
+0.06
1Y Return
17.01%
1Y Volatility
0.14%
STOXX® U.S. Equity Factor - EUR (Price Return)
€807.06
+5.87
1Y Return
15.25%
1Y Volatility
0.19%
STOXX® Global 1800 Ax Momentum - USD (Price Return)
$589.93
+25.29
1Y Return
31.46%
1Y Volatility
0.19%
STOXX® Global 1800 ESG-X Ax Momentum - USD (Price Return)
$570.66
-1.66
1Y Return
35.73%
1Y Volatility
0.19%
STOXX® Europe 600 Ax Size - EUR (Price Return)
€236.93
+4.64
1Y Return
14.27%
1Y Volatility
0.14%