Continue active refreshing of this index's data?

Continue active refreshing of this index's data?

Export PDF

DIVIDEND INDICES

STOXX Asia/Pacific Select Dividend 30

Components 1

Company Supersector Country Weight (%)
SITC Int. Hold. Industrial Goods and Services Hong Kong 13.48807
NEW HOPE CORP. Energy Australia 5.53552
Henderson Land Development Co. Real Estate Hong Kong 4.62544
Bendigo & Adelaide Bank Ltd. Banks Australia 4.05417
WH GROUP Food, Beverage and Tobacco Hong Kong 3.96134
DBS Group Holdings Ltd. Banks Singapore 3.76628
United Overseas Bank Ltd. Banks Singapore 3.64463
SANKYO Travel and Leisure Japan 3.56159
POWER ASSETS HOLDINGS LTD Utilities Hong Kong 3.36704
Singapore Telecommunications L Telecommunications Singapore 3.2999
XINYI GLASS HOLDINGS Industrial Goods and Services Hong Kong 3.20487
JB Hi-Fi Ltd. Retail Australia 3.08891
Sun Hung Kai Properties Ltd. Real Estate Hong Kong 3.0475
WOODSIDE ENERGY GROUP Energy Australia 3.02467
CAPTIALAND INT COMM TRUST Real Estate Singapore 3.00084
National Australia Bank Ltd. Banks Australia 2.92221
CK Asset Holdings Ltd Real Estate Hong Kong 2.88516
Whitehaven Coal Ltd. Energy Australia 2.85879
FORTESCUE Basic Resources Australia 2.78216
CLP Holdings Ltd. Utilities Hong Kong 2.60396
Rio Tinto Ltd. Basic Resources Australia 2.53486
CAPITALAND ASCENDAS REIT Real Estate Singapore 2.50834
SUNCORP GROUP LTD. Insurance Australia 2.42298
Harvey Norman Holdings Ltd. Retail Australia 2.31414
Japan Tobacco Inc. Food, Beverage and Tobacco Japan 2.2916
New World Development Co. Ltd. Real Estate Hong Kong 2.26953
Contact Energy Ltd. Utilities New Zealand 2.02457
Haseko Corp. Consumer Products and Services Japan 1.91868
NIPPON STEEL Basic Resources Japan 1.59932
JFE Holdings Inc. Basic Resources Japan 1.39293
1Based on the last periodic review implementation