Continue active refreshing of this index's data?

Continue active refreshing of this index's data?

Export PDF


STOXX Asia/Pacific Select Dividend 30

Components 1

Company Supersector Country Weight (%)
SITC Int. Hold. Industrial Goods and Services Hong Kong 15.73837
YANCOAL AUSTRALIA Energy Australia 6.1089
NEW HOPE CORP. Energy Australia 5.65058
XINYI GLASS HOLDINGS Industrial Goods and Services Hong Kong 4.17727
Henderson Land Development Co. Real Estate Hong Kong 3.99264
Bendigo & Adelaide Bank Ltd. Banks Australia 3.81295
FORTESCUE Basic Resources Australia 3.47529
WH GROUP Food, Beverage and Tobacco Hong Kong 3.46286
WOODSIDE ENERGY GROUP Energy Australia 3.40879
DBS Group Holdings Ltd. Banks Singapore 3.39241
United Overseas Bank Ltd. Banks Singapore 3.35173
CAPTIALAND INT COMM TRUST Real Estate Singapore 2.73996
Rio Tinto Ltd. Basic Resources Australia 2.7358
Sun Hung Kai Properties Ltd. Real Estate Hong Kong 2.71733
POWER ASSETS HOLDINGS LTD Utilities Hong Kong 2.71626
National Australia Bank Ltd. Banks Australia 2.70569
CK Asset Holdings Ltd Real Estate Hong Kong 2.6738
Singapore Telecommunications L Telecommunications Singapore 2.53904
JB Hi-Fi Ltd. Retail Australia 2.51788
CLP Holdings Ltd. Utilities Hong Kong 2.3941
Japan Tobacco Inc. Food, Beverage and Tobacco Japan 2.32282
SUNCORP GROUP LTD. Insurance Australia 2.26347
Contact Energy Ltd. Utilities New Zealand 2.226
New World Development Co. Ltd. Real Estate Hong Kong 2.20536
CAPITALAND ASCENDAS REIT Real Estate Singapore 2.19879
Harvey Norman Holdings Ltd. Retail Australia 2.16758
Haseko Corp. Consumer Products and Services Japan 1.65833
NIPPON STEEL Basic Resources Japan 1.57177
Mitsui O.S.K. Lines Ltd. Industrial Goods and Services Japan 1.54088
JFE Holdings Inc. Basic Resources Japan 1.53336
1Based on the last periodic review implementation