Summary
The STOXX Risk Control indices aim to create a portfolio, consisting in a mix of the underlying index and a cash component, whose risk fluctuates around a predefined level. The allocation between the two components is determined by the volatility of the underlying index, as compared to the risk level targeted by the Risk Control index: the more the underlying index’ volatility exceeds the threshold, the higher the allocation to the cash component. All STOXX Risk Control indices utilize a measure of volatility in realized terms; the Risk Control indices on EURO STOXX® 50 are additionally available in an implied volatility version, where the measure of volatility is based on the VSTOXX® index. The allocation to the underlying index, which may be adjusted on a daily basis, is capped to 150%, with the exception of the STOXX Europe Large 200 Risk Control indices, for which the cap is set to 100%.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
SDGPRC10
Calculation
End-of-day
Dissemination Period
22:30-22:30 CET
ISIN
CH0247918607
Bloomberg
SDGPRC10 INDEX
Last Value
2,157.03
-4.78 (-0.22%)
As of CET
Week to Week Change
-0.15%
52 Week Change
30.97%
Year to Date Change
7.00%
Daily Low
2157.03
Daily High
2157.03
52 Week Low
1641.177 — 9 Apr 2025
52 Week High
2213.141 — 2 Mar 2026
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Low
High
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