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Results of the annual review of STOXX’s broadest benchmark tracking the highest ESG-scoring companies are out.
On Sep. 21 Qontigo will implement announced changes to the sectorial classification structure of STOXX indices following the first major overhaul of the Industry Classification Benchmark (ICB) in years.
The COVID-19 crisis has accentuated long-term trends in the European equity market, with Health Care solidifying its dominance in the STOXX® Europe 600 Index, and Banks shedding further ground.
Qontigo will implement announced changes to the sectorial classification structure of STOXX indices following the first major overhaul of the Industry Classification Benchmark (ICB) in years.
Deutsche Börse’s index provider Qontigo and its derivatives exchange Eurex are adapting their offering to the upcoming new classification of industrial sectors.
The STOXX® Global 1800 Index posted its best August on record, climbing to an all-time high, as investors raised their expectations that an economic recovery from the COVID-19 pandemic is gaining momentum.
The STOXX® Global 1800 Index rose for a fifth straight month in August, climbing to an all-time high and posting its best month of August on record, as investors raised their expectations that an economic recovery will follow the COVID-19 outbreak.
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.
The STOXX Global 1800 Index rises in month, helped by continuing strength in US shares and a slump in the dollar.
Corporate | Portfolio Construction
Qontigo Names Courtney Scharff as Global Head of Strategic Partnerships
Qontigo announced today the appointment of Courtney Scharff as Global Head of Strategic Partnerships.
The STOXX® Global 1800 Index rose for a fourth straight month during July, even as COVID-19 contagions crept up in many geographies and European stocks faltered.
Melissa Brown discusses the STOXX® Europe 600 Paris-Aligned Benchmark Index, and the strategy driving a higher return and lower volatility than its benchmark.