Msci europe minimum volatility net total return eur price return index
This indicator of relative risk corresponds to the annualized volatility of the daily return difference between the ETF and its corresponding tracked index over the given period. The volatility is annualized using a 260 days basis (daily volatility multiplied by the square root of 260). Total Return (%) Total return is expressed as the percentage change of an investment over a certain timeframe. It includes the net income earned by the investment in terms of dividends or interest along with any change in the capital value of the investment. 15.34 -2.47 8.97 -4.12 23.06 Benchmark (%) Index: MSCI Europe Minimum Volatility: 15.42 The MSCI Europe Net Total Return Index Futures are cash settled upon expiration. The underlying index is the MSCI Europe Net Total Return Index denominated in Euro. This index covers approximately 85% of the free float-adjusted market capitalization across the European Developed Markets equity universe (large and mid cap). Total Return (%) Total return is expressed as the percentage change of an investment over a certain timeframe. It includes the net income earned by the investment in terms of dividends or interest along with any change in the capital value of the investment. 5.08 7.40 17.36 -2.15 23.16 Benchmark (%) Index: MSCI World Minimum Volatility Index: 5.16 Total Return (%) Total return represents changes to the NAV and accounts for distributions from the fund. 15.34 -2.47 8.97 -4.12 23.06 Benchmark (%) Index: MSCI Europe Minimum Volatility: 15.42 -2.59 9.56 -4.10 22.92 Benchmark (%) Index: MSCI Europe Minimum Volatility Index: 4.36 -6.86 22.94 -7.92 22.09 MSCI Developed Europe Net TR Index - in USD MSCI Developed Europe Net TR Index - in USD shown for illustrative purposes only to demonstrate how this fund has performed vs. the broader respective market.-2.84 -0.40 25.51 -14.86 23.77 View returns for any global, regional or country MSCI index. There are three main variables to select: the market for the index (All Country, Developed Markets, Emerging Markets, Frontier Markets, etc.), the currency (US dollar, Euro, or local), and the index level ( price return, total return, net return ).
Equities ETF on the MSCI USA Select Dynamic 50% Risk Weighted Total Return Net. EMEA(5). Europe(4). Eurozone(21). North America(4). Countries. Australia (7) UBS ETF (IE) Bloomberg Commodity Index SF UCITS ETF (hedged to EUR) The investment objective is to replicate the price and return performance of
Total Return (%) Total return represents changes to the NAV and accounts for distributions from the fund. 15.34 -2.47 8.97 -4.12 23.06 Benchmark (%) Index: MSCI Europe Minimum Volatility: 15.42 -2.59 9.56 -4.10 22.92 Benchmark (%) Index: MSCI Europe Minimum Volatility Index: 4.36 -6.86 22.94 -7.92 22.09 MSCI Developed Europe Net TR Index - in USD MSCI Developed Europe Net TR Index - in USD shown for illustrative purposes only to demonstrate how this fund has performed vs. the broader respective market.-2.84 -0.40 25.51 -14.86 23.77 View returns for any global, regional or country MSCI index. There are three main variables to select: the market for the index (All Country, Developed Markets, Emerging Markets, Frontier Markets, etc.), the currency (US dollar, Euro, or local), and the index level ( price return, total return, net return ). Marketing Cookies. Our marketing cookies let us to know when you interact with our marketing communications. In addition, if you submit an online form to us (e.g., email subscribe, Contact Us, event registration, etc.), we use these cookies to identify your navigation activities on our websites.
MSCI minimum volatility indexes. The MSCI Minimum Volatility Indexes are part of the MSCI Factor Indexes, which represent the return of factors (common stock characteristics) that have historically earned a persistent premium over long periods of time.
The STOXX Global ESG Leaders Select 50 EUR Index captures the performance of stocks with low volatility and high dividends from the STOXX Global ESG Price. Return. USD. Solactive Low Volatility Europe. Equal Weight 50 Index Volatility. 50%. Dividend yield. 5.00%. Excess. Return. EUR. MSCI World Price. Return. EUR. Solactive Global Infrastructure. Select 40 USD Net Total Return. Equities ETF on the MSCI USA Select Dynamic 50% Risk Weighted Total Return Net. EMEA(5). Europe(4). Eurozone(21). North America(4). Countries. Australia (7) UBS ETF (IE) Bloomberg Commodity Index SF UCITS ETF (hedged to EUR) The investment objective is to replicate the price and return performance of Barclays Global Aggregate Corporate ex-U.S. Total Return Index Hedged USD: A run US Treasuries where the net interest rate exposure of the index is adjusted to a negative of near-term volatility conveyed by S&P 500 stock index option prices. Euro Area: refers to the Member States of the European Union that have Total assets (million) €4,174 | Investor EUR (million) €134 as at 31 January 2020. Minimum initial investment EUR—Vanguard European Stock Index Fund. Benchmark — MSCI Europe Index Investment returns and principal value will fluctuate, so investors' shares, when sold, the risk of higher share-price volatility. BNP Paribas Global Renewable Energies Total Return Index USD (BNPIRETR) DB Equity EURO STOXX+ Minimum Variance EUR Price Index (SAXEMVP) Euronext MSCI Europe ex UK with Special Taxes Net Return EUR Index ( M7CXUKL) S&P Europe 350 Low Volatility High Dividend Yield Index ( SPEULVDP)
Barclays Global Aggregate Corporate ex-U.S. Total Return Index Hedged USD: A run US Treasuries where the net interest rate exposure of the index is adjusted to a negative of near-term volatility conveyed by S&P 500 stock index option prices. Euro Area: refers to the Member States of the European Union that have
Feb 28, 2020 The MSCI Europe Minimum Volatility (USD) Index aims to reflect the INDEX PERFORMANCE — NET RETURNS (%) ( FEB 28, 2020 ) Total. 15.90. 12.29. FACTORS - KEY EXPOSURES THAT DRIVE RISK AND RETURN by aggregating 16 factors (e.g. Book-to-Price, Earnings/Dividend Yields, LT. The MSCI Minimum Volatility Indexes are part of the MSCI Factor Indexes, which represent the return of factors (common stock Each Minimum Volatility Index is calculated by optimizing a parent MSCI index to produce an index with the least volatility for a MSCI Europe Minimum Volatility (USD) 100% Hedged to USD
The MSCI Europe Net Total Return Index Futures are cash settled upon expiration. The underlying index is the MSCI Europe Net Total Return Index denominated in Euro. This index covers approximately 85% of the free float-adjusted market capitalization across the European Developed Markets equity universe (large and mid cap).
Feb 28, 2020 The MSCI Europe Minimum Volatility (EUR) Index aims to reflect the INDEX RISK AND RETURN CHARACTERISTICS ( DEC 31, 1998 – FEB Total. 15.78. 9.81. FACTORS - KEY EXPOSURES THAT DRIVE RISK AND RETURN aggregating 16 factors (e.g. Book-to-Price, Earnings/Dividend Yields, LT. Feb 28, 2020 The MSCI Europe Minimum Volatility (USD) Index aims to reflect the INDEX PERFORMANCE — NET RETURNS (%) ( FEB 28, 2020 ) Total. 15.90. 12.29. FACTORS - KEY EXPOSURES THAT DRIVE RISK AND RETURN by aggregating 16 factors (e.g. Book-to-Price, Earnings/Dividend Yields, LT. The MSCI Minimum Volatility Indexes are part of the MSCI Factor Indexes, which represent the return of factors (common stock Each Minimum Volatility Index is calculated by optimizing a parent MSCI index to produce an index with the least volatility for a MSCI Europe Minimum Volatility (USD) 100% Hedged to USD Feb 28, 2020 MSCI Europe Index (EUR) | msci.com. The MSCI Europe Index captures large and mid cap representation across 15 Developed Markets (DM) iShares Edge MSCI Europe Minimum Volatility UCITS ETF NAV Total Return as of 16/Mar/2020 YTD: -25.90% Cumulative NAV Total Return YTD. bought and sold at market prices which may be different to the net asset values of the ETFs. “Minimum volatility” in the Fund's name refers to its underlying index exposure The iShares Edge MSCI Min Vol Europe ETF seeks to track the investment results of an index composed of European developed market equities that NAV Total Return as of Mar 17, 2020 YTD: -24.71% YTD (year to date) is a period, Based on the downside capture ratio of the MSCI Minimum Volatility indexes relative to
Barclays Global Aggregate Corporate ex-U.S. Total Return Index Hedged USD: A run US Treasuries where the net interest rate exposure of the index is adjusted to a negative of near-term volatility conveyed by S&P 500 stock index option prices. Euro Area: refers to the Member States of the European Union that have Total assets (million) €4,174 | Investor EUR (million) €134 as at 31 January 2020. Minimum initial investment EUR—Vanguard European Stock Index Fund. Benchmark — MSCI Europe Index Investment returns and principal value will fluctuate, so investors' shares, when sold, the risk of higher share-price volatility. BNP Paribas Global Renewable Energies Total Return Index USD (BNPIRETR) DB Equity EURO STOXX+ Minimum Variance EUR Price Index (SAXEMVP) Euronext MSCI Europe ex UK with Special Taxes Net Return EUR Index ( M7CXUKL) S&P Europe 350 Low Volatility High Dividend Yield Index ( SPEULVDP)