Summary
The STOXX Global Low Risk Weighted Diversified 200 Index represents 200 low volatility companies from the STOXX Global 1800. The selection is subject to diversification rules. Constituents are selected based on their 12-month historical volatility and weighted by the inverse of their 12-month historical volatility capped by component, industry and country constraints.
Index Guides, Benchmark statement, and other reports are available under the Data tab.
Details
Symbol
SXGLV2R
Calculation
Realtime
Dissemination Period
00:00-22:30 CET
ISIN
CH0509655277
Last Value
660.72
-0.17 (-0.03%)
As of CET
Week to Week Change
1.77%
52 Week Change
0.42%
Year to Date Change
5.84%
Daily Low
659.4
Daily High
661.02
52 Week Low
603.9299 — 7 Apr 2025
52 Week High
674.64 — 28 Feb 2025
Top 10 Components
| Coca-Cola Co. | US |
| WEC Energy Group | US |
| Duke Energy Corp. | US |
| LINDE | US |
| REALTY INCOME | US |
| Southern Co. | US |
| Johnson & Johnson | US |
| Procter & Gamble Co. | US |
| Colgate-Palmolive Co. | US |
| CME Group Inc. Cl A | US |
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