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THEME INDICES

ISS STOXX Europe 600 Biodiversity Focus SRI

Index Description

The ISS STOXX Europe 600 Biodiversity Focus SRI indices track the performance of a selection of STOXX Indices companies after a set of compliance, ESG involvement screens, biodiversity screens, and overall impact on biodiversity and environmental UN Sustainable Development Goals (SDGs) objectives are applied. Companies that are non-compliant based on the ISS ESG Norms Based Screening assessment or are involved in Controversial Weapons are not eligible for selection. Additional exclusion filters are applied, screening companies for involvement in Palm Oil, GMO Agriculture, Hazardous Pesticides, Animal Welfare, Fur Involvement, Tobacco, Adult Entertainment, Alcohol, Gambling, Thermal Coal, Unconventional Oil & Gas, Fossil Fuels, Nuclear Power, Civilian Firearms, and Military Contracting. Companies are also screened for their ESG Rating. Furthermore, only companies in the top 80% rank of Potentially Disappeared Fraction of species over Enterprise Value including Cash (PDF/EVIC) scores based on ISS ESG Biodiversity Impact Assessment Tool (BIAT) as well as the top 80% rank of biodiversity-related ISS ESG SDG Impact Rating aggregated score within each ICB Sector of the universe are selected.

Key facts

  • Comprehensive framework designed to take into account the biodiversity topic.
  • Screens to exclude companies causing harm to biodiversity.
  • Biodiversity metric (Potentially Disappeared Fraction of species) to select companies making efforts to reduce their biodiversity footprint.
  • Exposure to companies providing biodiversity solutions (increase exposure to biodiversity-related SDGs).
  • Carbon intensities reduction by more than 30%.
  • SFDR Article 8 compliant.

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
ISS STOXX Europe 600 Biodiversity Focus SRI N/A 981.1 3.6 1.5 41.1 0.2 4.2 0.0 32.1
STOXX Europe 600 13,308.4 10,602.2 17.7 6.2 328.1 1.3 3.1 0.0 3.5

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
ISS STOXX Europe 600 Biodiversity Focus SRI -3.0 9.9 24.5 N/A N/A N/A N/A 24.8 N/A N/A
STOXX Europe 600 -3.2 8.7 20.4 17.0 47.9 N/A N/A 20.7 5.4 8.2
Index volatility and risk Annualized volatility (%) Annualized Sharpe ratio2
ISS STOXX Europe 600 Biodiversity Focus SRI N/A N/A 10.6 12.5 12.5 N/A N/A 2.1 1.0 1.0
STOXX Europe 600 N/A N/A 10.2 14.5 17.6 N/A N/A 1.9 0.3 0.4
Index to benchmark Correlation Tracking error (%)
ISS STOXX Europe 600 Biodiversity Focus SRI 1.0 1.0 1.0 1.0 1.0 1.7 2.4 2.3 2.7 2.7
Index to benchmark Beta Annualized information ratio
ISS STOXX Europe 600 Biodiversity Focus SRI 1.0 1.0 1.0 0.7 0.5 1.3 0.5 1.4 0.4 0.4

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

2Based on EURIBOR1M

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

THEME INDICES

ISS STOXX Europe 600 Biodiversity Focus SRI

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
ISS STOXX Europe 600 Biodiversity Focus SRI 18.9 15.8 16.2 16.2 2.2 3.5 1.4 20.7
STOXX Europe 600 17.1 14.6 15.3 15.3 2.0 3.9 1.3 20.5

Performance and annual returns

Methodology

The ISS STOXX Europe 600 Biodiversity Focus SRI indices track the performance of a selection of STOXX Indices companies after a set of compliance, ESG involvement screens, biodiversity screens, and overall impact on biodiversity and environmental UN Sustainable Development Goals (SDGs) objectives are applied.
Companies that are non-compliant based on the ISS ESG Norms Based Screening assessment or are involved in Controversial Weapons are not eligible for selection. Additional exclusion filters are applied, screening companies for involvement in Palm Oil, GMO Agriculture, Hazardous Pesticides, Animal Welfare, Fur Involvement, Tobacco, Adult Entertainment, Alcohol, Gambling, Thermal Coal, Unconventional Oil & Gas, Fossil Fuels, Nuclear Power, Civilian Firearms, and Military Contracting. Companies are also screened for their ESG Rating.
Furthermore, only companies in the top 80% rank of Potentially Disappeared Fraction of species over Enterprise Value including Cash (PDF/EVIC) scores based on ISS ESG Biodiversity Impact Assessment Tool (BIAT) as well as the top 80% rank of biodiversity-related ISS ESG SDG Impact Rating aggregated score within each ICB Sector of the universe are selected.
If the GHG intensity reduction is not at least 50% versus the parent index, companies will be excluded by descending order of carbon intensity until the 30% reduction is reached.

Versions and symbols

Index ISIN Symbol Bloomberg Reuters
Gross Return EUR CH1213355881 SXBIOSGR .SXBIOSGR
Net Return EUR CH1213355873 SXBIOSR SXBIOSR INDEX .SXBIOSR
Price EUR CH1213355899 SXBIOSP .SXBIOSP
Price USD CH1213355865 SXBIOSL .SXBIOSL
Net Return USD CH1213355840 SXBIOSV SXBIOSV INDEX .SXBIOSV
Gross Return USD CH1213355857 SXBIOSGV .SXBIOSGV

Quick Facts

Weighting Price weighted
Cap Factor 0.08
No. of components Variable
Review frequency Quarterly
Calculation/distribution Realtime 15 sec
Calculation hours 09:00:00 18:00:00
Base value/base date 100 as of September. 19, 2022
History Available from Sep. 19, 2022
Inception date July. 04, 2026
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
NOVO NORDISK B Health Care Denmark 4.190%
ASML HLDG Technology Netherlands 3.378%
VESTAS WIND SYSTEMS Energy Denmark 3.112%
SAP Technology Germany 2.984%
SCHNEIDER ELECTRIC Industrial Goods and Services France 2.762%
SIEMENS Industrial Goods and Services Germany 2.714%
ASTRAZENECA Health Care UK 2.589%
NOVARTIS Health Care Switzerland 2.567%
ROCHE HLDG P Health Care Switzerland 2.561%
DEUTSCHE TELEKOM Telecommunications Germany 2.032%

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

4Based on the composition as of October 31, 2024

THEME INDICES

ISS STOXX Europe 600 Biodiversity Focus SRI