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Index Description

The STOXX Global ESG Governance Leaders Diversification Select 30 EUR Index captures the performance of stocks with low correlation, low volatility and high dividends from the STOXX Global ESG Governance Leaders Index. The component selection process first excludes all stocks with the highest 12-month average correlation with all other stocks in the benchmark, then excludes stocks whose 3- or 12-month historical volatilities are the highest. Among the remaining stocks, the 30 stocks with the highest 12-month historical dividend yields are selected to be included in the index. The percentage of exclusion/inclusion at each step is the same. Those constituents are weighted according to the inverse of their volatility, with a cap at 10%. The indices are reviewed quarterly. Index Guides, Benchmark statement, and other reports are available under the Data tab.

Key facts

  • Diversification brought by excluding highly correlated stocks
  • Balanced approach between the different screenings
  • Lower volatility stocks get the highest weight
  • Liquid benchmarks

Descriptive Statistics

Index Market Cap (EUR bn) Components (EUR bn) Component weight (%) Turnover (%)
Full Free-float Mean Median Largest Smallest Largest Smallest Last 12 monts
STOXX Global ESG Governance Leaders Diversification Select 30 EUR N/A 1.0 0.0 0.0 0.0 0.0 4.6 2.3 198.1
STOXX Global 1800 70,183.5 64,413.0 35.8 11.3 3,126.5 1.1 4.9 0.0 2.6

Supersector weighting (top 10)

Country weighting

Risk and return figures1

Index returns Return (%) Annualized return (%)
Last month YTD 1Y 3Y 5Y Last month YTD 1Y 3Y 5Y
STOXX Global ESG Governance Leaders Diversification Select 30 EUR 1.1 8.9 23.1 33.9 71.9 N/A N/A 23.4 10.4 11.6
STOXX Global 1800 -7.8 -5.4 7.5 29.9 116.4 N/A N/A 7.6 9.3 16.9
Index volatility and risk Annualized volatility (%) Annualized Sharpe ratio2
STOXX Global ESG Governance Leaders Diversification Select 30 EUR N/A N/A 8.8 9.6 10.1 N/A N/A 2.0 0.8 0.9
STOXX Global 1800 N/A N/A 12.8 13.8 14.4 N/A N/A 0.3 0.4 1.0
Index to benchmark Correlation Tracking error (%)
STOXX Global ESG Governance Leaders Diversification Select 30 EUR 0.0 0.2 0.4 0.4 0.5 19.6 14.1 12.1 13.1 13.0
Index to benchmark Beta Annualized information ratio
STOXX Global ESG Governance Leaders Diversification Select 30 EUR 0.0 0.1 0.3 0.3 0.3 5.7 4.0 1.0 0.0 -0.5

1For information on data calculation, please refer to STOXX calculation reference guide

2Based on EURIBOR1M

(EUR, Gross Return), all data as of March 31, 2025

STRATEGY INDICES

STOXX Global ESG Governance Leaders Diversification Select 30 EUR

Fundamentals

Index Price/earnings incl. negative Price/earnings excl. negative Price/book Dividend yield (%)3 Price/sales Price/cash flow
Trailing Projected Trailing Projected Trailing Trailing Trailing
STOXX Global ESG Governance Leaders Diversification Select 30 EUR 18.3 14.0 15.5 14.0 1.3 5.8 1.5 4.6
STOXX Global 1800 23.4 18.8 21.8 18.7 3.2 2.0 2.2 3.9

Performance and annual returns

Methodology

The STOXX Global ESG Governance Leaders Diversification Select 30 EUR Index captures the performance of stocks with low correlation, low volatility and high dividends from the STOXX Global ESG Governance Leaders Index.

The component selection process first excludes all stocks with the highest 12-month average correlation with all other stocks in the benchmark, then excludes stocks whose 3- or 12-month historical volatilities are the highest. Among the remaining stocks, the 30 stocks with the highest 12-month historical dividend yields are selected to be included in the index. The percentage of exclusion/inclusion at each step is the same.

Those constituents are weighted according to the inverse of their volatility, with a cap at 10%. The indices are reviewed quarterly.

Index Guides, Benchmark statement, and other reports are available under the Data tab.

Versions and symbols

Index ISIN Symbol Bloomberg Reuters
Price EUR CH0321940774 SGGOVDSP SGGOVDSP INDEX .SGGOVDSP
Gross Return EUR CH0321940790 SGGOVDSG .SGGOVDSG
Net Return EUR CH0321940782 SGGOVDSR .SGGOVDSR

Quick Facts

Weighting Volatility weighted
Cap Factor 10%
No. of components Fixed
Review frequency Quarterly
Calculation/distribution Price: real-time (every 15 seconds); Net and Gross Return: end-of-day
Calculation hours Please see data vendor codes sheet on www.stoxx.com/datavendorcodes
Base value/base date 100 as of Jun. 21, 2004
History Available from Jun. 21, 2004
Inception date Apr. 29, 2016

Top 10 Components4

Company Supersector Country Weight
KLEPIERRE Real Estate France 4.588%
TERNA Utilities Italy 4.455%
Redeia Corporacion Utilities Spain 4.300%
United Overseas Bank Ltd. Banks Singapore 4.162%
SNAM RETE GAS Energy Italy 4.159%
Transurban Group Industrial Goods and Services Australia 3.922%
ENDESA Utilities Spain 3.814%
ELISA CORPORATION Telecommunications Finland 3.527%
TC ENERGY Energy Canada 3.497%
Enbridge Inc. Energy Canada 3.465%

3Net dividend yield is calculated as net return index return minus price index return

4Based on the composition as of March 31, 2025