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ENVIRONMENTAL SOCIAL GOVERNANCE INDICES

STOXX Bund/SV Global Ex Eurozone CTB

Index Description

The STOXX Bund/SV Global Ex Eurozone CTB and STOXX Bund/SV Eurozone CTB indices track the performance of at most 150 components that are selected from a pool of companies that are classed as leaders with regard to Environmental, Social and Governance criteria. The indices are constructed to follow the EU Climate Transition Benchmark (“EU CTB") requirements outlined in the COMMISSION DELEGATED REGULATION (EU) 2020/1818 of 17 July 2020 supplementing Regulation (EU) 2016/1011 of the European Parliament and of the Council as regards minimum standards for EU Climate Transition Benchmarks and EU Paris-aligned Benchmarks (in the following, “EU Climate Benchmarks Regulation”) including but not limited to Article 12 (1), points (a), (b) and (c), and (2) of the EU Climate Benchmark Regulation. The indices are designed to help investors align investments in the transition to a low-carbon economy.

Key facts

  • The indices are designed to help investors align with the shift towards a low-carbon economy
  • The indices aim to reduce their greenhouse gases emission intensity by at least 30% when compared to their underlying benchmarks and follow a year on year 7% decarbonization target
  • Scope 1, Scope 2 and Scope 3 are used across all sectors
  • Sectors key to the low-carbon transition, high climate impact sectors are not underweighted relative to the underlying 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 Bund/SV Global Ex Eurozone CTB N/A 1,221.0 8.1 4.0 114.9 0.0 9.4 0.0 N/A
STOXX Global 1800 ex Eurozone 77,123.2 72,536.6 48.2 13.7 4,396.7 1.5 6.1 0.0 3.3

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 Bund/SV Global Ex Eurozone CTB 6.5 9.2 21.8 63.0 92.4 N/A N/A 22.3 18.0 14.2
STOXX Global 1800 ex Eurozone 5.5 11.7 23.6 65.1 83.2 N/A N/A 24.1 18.5 13.0
Index volatility and risk Annualized volatility (%) Annualized Sharpe ratio2
STOXX Bund/SV Global Ex Eurozone CTB N/A N/A 11.1 13.8 14.9 N/A N/A 1.6 1.0 0.8
STOXX Global 1800 ex Eurozone N/A N/A 10.4 13.2 14.3 N/A N/A 1.9 1.1 0.7
Index to benchmark Correlation Tracking error (%)
STOXX Bund/SV Global Ex Eurozone CTB 0.9 1.0 1.0 1.0 1.0 3.1 3.0 2.8 2.7 2.7
Index to benchmark Beta Annualized information ratio
STOXX Bund/SV Global Ex Eurozone CTB 0.9 1.0 1.0 1.0 1.0 3.9 -1.9 -0.5 -0.1 0.4

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

2Based on EURIBOR1M

(EUR, Net Return), all data as of May 29, 2026

ENVIRONMENTAL SOCIAL GOVERNANCE INDICES

STOXX Bund/SV Global Ex Eurozone CTB

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 Bund/SV Global Ex Eurozone CTB 27.5 23.4 26.6 23.3 5.6 1.3 4.4 34.9
STOXX Global 1800 ex Eurozone 26.8 21.3 25.2 20.9 4.1 1.4 3.0 25.7

Performance and annual returns

Methodology

All securities are screened for the below information at the review cut-off date:
i. ESG Exclusion Screens
ii. Region & Currency Eligibility
iii. ESG Score Availability
iv. Minimum Liquidity
v. Minimum Market Capitalization

Companies are then ranked in descending order in terms of their ESG scores, on a peer group and regional (for the STOXX Bund/SV Global Ex Eurozone CTB Index) basis.

For the STOXX Bund/SV Global Ex Eurozone CTB Index, the regions are defined as North America (for Canada and USA), Europe ex Eurozone (for Switzerland, United Kingdom, Sweden, Norway and Denmark), and Asia-Pacific (for Australia and Japan).

The bottom 30% of companies are not eligible for selection, for companies that are currently constituents of the index the threshold is relaxed to 25%._x000B_
The index comprises 150 companies with the largest free‑float market capitalization, subject to industry caps of 25 constituents per ICB sector and defined regional and country representation rules. Selection follows a tiered process prioritizing top-ranked companies by free‑float market capitalization, with buffer mechanisms for current constituents, and includes all eligible securities if fewer than 150 remain after screening.

Versions and symbols

Index ISIN Symbol Bloomberg Reuters
Gross Return EUR CH1546179248 SXBSVGEG .SXBSVGEG
Price EUR CH1546179222 SXBSVGEP SXBSVGEP INDEX .SXBSVGEP
Net Return EUR CH1546179230 SXBSVGEN SXBSVGEN INDEX .SXBSVGEN
Net Return USD CH1546179263 SXBSVGUN .SXBSVGUN
Price USD CH1546179255 SXBSVGUP .SXBSVGUP
Gross Return USD CH1546179271 SXBSVGUG .SXBSVGUG

Quick Facts

Weighting Price Weighted
Cap Factor na
No. of components Variable
Review frequency Annually
Calculation/distribution Realtime 15 sec
Calculation hours 00:00:00 22:30:00
Base value/base date 100 as of June. 22, 2015
History Available from June 22, 2015
Inception date May. 29, 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
Apple Inc. Technology USA 9.410%
NVIDIA Corp. Technology USA 8.897%
Amazon.com Inc. Retail USA 6.098%
Microsoft Corp. Technology USA 5.716%
ALPHABET CLASS C Technology USA 3.700%
TESLA Automobiles and Parts USA 3.127%
META PLATFORMS CLASS A Technology USA 2.064%
Eli Lilly & Co. Healthcare USA 2.020%
ADVANCED MICRO DEVICES Technology USA 1.915%
NOVARTIS Healthcare Switzerland 1.404%

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

4Based on the composition as of May 29, 2026