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Index Description

The STOXX Malaysia Mid Cap Index is a broad market cap weighted index designed to represent the performance of the Mid Cap companies from Malaysia covering approximately 15% of investable market capitalization. STOXX Malaysia Mid Cap Index is suitable for global investment products which include funds, exchange traded funds, and derivatives and can also be used for further building block approach strategies when appropriate. It follows a robust and modular framework which enables investors to utilize this index for a variety of investment objectives whilst using a consistent approach. It is derived from STOXX World Equity Index series and its countries follow the STOXX World Country Classification Framework.

Key facts

  • Broad, yet liquid coverage of Mid cap companies that supports clients' global investment decisions whilst avoiding home biases.
  • A consistent and transparent methodology which fully embraces global standards of governance.
  • Can serve as a basis for numerous derived strategies.
  • Constructed using STOXX World Methodology.
  • Its countries follow the STOXX World Country classification framework.

Descriptive Statistics

Index Market Cap (USD bn) Components (USD bn) Component weight (%) Turnover (%)
Full Free-float Mean Median Largest Smallest Largest Smallest Last 12 monts
STOXX Malaysia Mid Cap 78.1 35.9 1.7 1.8 4.0 0.3 11.2 0.8 12.3
STOXX Emerging Markets Mid Cap 5,003.3 1,613.7 1.2 0.6 14.7 0.0 0.9 0.0 21.1

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 Malaysia Mid Cap -7.5 30.9 47.1 13.8 43.3 N/A N/A 46.9 4.4 7.4
STOXX Emerging Markets Mid Cap -4.9 8.8 24.8 3.4 32.9 N/A N/A 24.7 1.1 5.8
Index volatility and risk Annualized volatility (%) Annualized Sharpe ratio2
STOXX Malaysia Mid Cap N/A N/A 16.4 16.2 20.2 N/A N/A 2.6 0.3 0.4
STOXX Emerging Markets Mid Cap N/A N/A 11.7 13.7 16.2 N/A N/A 1.9 0.0 0.3
Index to benchmark Correlation Tracking error (%)
STOXX Malaysia Mid Cap 0.2 0.6 0.6 0.6 0.5 10.8 14.1 13.5 14.1 18.1
Index to benchmark Beta Annualized information ratio
STOXX Malaysia Mid Cap 0.2 0.8 0.8 0.7 0.6 -3.0 1.5 1.2 0.2 0.1

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

2Based on EURIBOR1M

(USD, Gross Return), all data as of October 31, 2024

BENCHMARK INDICES

STOXX Malaysia Mid Cap

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 Malaysia Mid Cap 16.7 15.6 15.5 15.5 1.4 3.7 1.4 2.1
STOXX Emerging Markets Mid Cap 20.1 15.2 14.8 14.8 1.6 2.9 0.8 9.9

Performance and annual returns

Methodology

The STOXX Malaysia Mid Cap Index is a broad market cap weighted index designed to represent the performance of the Mid Cap companies from Malaysia covering approximately 15% of investable market capitalization. STOXX Malaysia Mid Cap Index is suitable for global investment products which include funds, exchange traded funds, and derivatives and can also be used for further building block approach strategies when appropriate. It follows a robust and modular framework which enables investors to utilize this index for a variety of investment objectives whilst using a consistent approach. It is derived from STOXX World Equity Index series and its countries follow the STOXX World Country Classification Framework.

Versions and symbols

Index ISIN Symbol Bloomberg Reuters
Gross Return EUR CH1213342657 SWMYMCGR .SWMYMCGR
Price EUR CH1213342665 SWMYMCP .SWMYMCP
Net Return EUR CH1213342640 SWMYMCR .SWMYMCR
Net Return USD CH1213342616 SWMYMCV .SWMYMCV
Price USD CH1213342632 SWMYMCL .SWMYMCL
Gross Return USD CH1213342624 SWMYMCGV .SWMYMCGV

Quick Facts

Weighting Free-float market capitalization
Cap Factor N/A
No. of components Variable
Review frequency Semi Annual
Calculation/distribution Realtime 15 sec
Calculation hours 00:00:00 22:15:00
Base value/base date 1000 as of September. 24, 2001
History Available from Sep. 24, 2001
Inception date November. 16, 2022
To learn more about the inception date, the currency, the calculation hours and historical values, please see our data vendor code sheet.

Top 10 Components4

Company Supersector Country Weight
Gamuda Bhd Construction and Materials Malaysia 11.187%
YTL Utilities Malaysia 7.027%
AMMB Holdings Bhd Banks Malaysia 6.888%
SUNWAY Real Estate Malaysia 6.047%
YTL Power International Bhd Utilities Malaysia 5.827%
MALAYSIA AIRPORTS HDG. Industrial Goods and Services Malaysia 5.703%
MR DIY GROUP M BHD Retail Malaysia 5.588%
Genting Bhd Travel and Leisure Malaysia 5.482%
QL RESOURCES Food, Beverage and Tobacco Malaysia 5.369%
INARI AMERTRON Technology Malaysia 5.292%

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

4Based on the composition as of October 31, 2024

BENCHMARK INDICES

STOXX Malaysia Mid Cap