Current Indices of Lixx Index Innovation
DE000A2QBFK6
The objective of the Index is to reflect the performance an investor can achieve through investing into Real Estate funds and Cash which provides an improved risk/return profile compared to a passive in-vestment into such instruments. In order to reflect the economic reality given by factors such as availability of instruments, reinvest-ments of maturing instruments and portfo-lio size, Index Components may be amended and their weighting adjusted over time.
Further details on the indexDE000A2QATB8
The objective of the Index is to reflect the performance an investor can achieve by investing in a portfolio of weighted exchange traded funds("ETF") which provides an improved risk/return profile compared to a passive investment in instruments and to protect against major drawdowns during severe market crises. In order to reflect the economic reality given by factors such as availability of instruments, reinvestments of maturing instruments and portfolio size, composition of the Index and the weighting of the Index Components is subject to change (the "Index Objective")
Further details on the indexFR0013434347
The objective of the Index is to reflect the performance an investor can achieve by investing in a dynamic portfolio of such 30 listed shares from the Reference Market representing the main common convictions of a group of short-listed funds (the “Funds Selection”). To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the indexDE000A2QHMT0
The objective of the Index is to reflect the performance an investor can achieve through investing into a once a year equal-weighted portfolio of instruments from the Reference Market. To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the indexFR0013511847
The objective of the Index is to reflect the performance an investor can achieve by investing in a dynamic portfolio of such 35 listed shares from the Reference Market representing the main common convictions of a group of short-listed managers (the “Selection of Portfolio Managers”). To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the indexFR0013511839
The objective of the Index is to reflect the performance an investor can achieve by investing in a dynamic portfolio of such 40 US listed shares or Substitutes from the Reference Market representing the main common convictions of a group of short-listed managers (the “Selection of Portfolio Managers”). To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the indexDE000A26RSG3
The objective of the Index is to reflect the performance an investor can achieve by regularly investing in the asset class which experienced the best trailing 12-month total return performance out of all available asset classes. In addition, the Index aims to control the volatility of each asset class (except cash) by dynamically allocating between cash and the relevant asset class to target a 60-day annualized volatility of approximately 15.0%.
Further details on the indexDE000A26RSH1
The objective of the Index is to reflect the performance an investor can achieve by regularly investing in the asset class which experienced the best trailing 12-month total return performance out of all available asset classes. In addition, the Index aims to control the volatility of each asset class (except cash) by dynamically allocating between cash and the relevant asset class to target a 60-day annualized volatility of approximately 15.0%.
Further details on the indexDE000A26RVX2
The objective of the Index is to reflect the performance an investor can achieve through investing in a portfolio of equity securities with pre-defined characteristics regarding the past- and future dividend performance.
Further details on the indexDE000A26RVW4
The objective of the Index is to reflect the performance an investor can achieve through investing in a portfolio of equity securities with pre-defined characteristics regarding the past- and future dividend performance.
Further details on the indexDE000A2QATC6
The objective of the Index is to reflect the performance an investor can achieve by regularly investing in such precious metal which experienced the best trailing 12-month total return performance out of all available precious metals. In addition, the Index aims to control the volatility of each asset class (except cash) by dynamically allocating between cash and the relevant asset class to target a 60-day annualized volatility of approximately 15.0%.
Further details on the indexDE000A2RPAP4
The objective of the Index is to reflect the performance an investor can achieve through investing into such asset class of the given asset classes which have a relative outperformance.
Index powered using Thomson Reuters data.
Further details on the indexDE000A2L0QV1
The objective of the Index is to reflect the performance an investor can achieve through investing into such cannabis related stocks, which serve the goal for an optimized balance between maximum return and risk on a portfolio level. In order to reflect the economic reality given by factors such as availability of instruments, reinvestments of maturing instruments and portfolio size, Index Components may be amended and their weighting adjusted over time.
Index powered using Thomson Reuters data.
Further details on the indexDE000A2G9QV9
The Mez Capital Index tracks selected bonds in the market for mezzanine project bonds in the real estate sector. The underlying bond projects are located in Germany, Austria and Luxembourg.
Further details on the indexDE000A2RPAG3
The Mez Capital Long Term Index tracks selected bonds in the market for mezzanine project bonds in the real estate sector. The underlying bond projects are located in Europe.
Further details on the indexDE000A2G99R9
The TF Momentum Strategy Index aims to reflect the performance that an investor can generate by investing in a technical algorithmic trading system based on fixed rules. The universe of index components includes listed US and European financial instruments.
Further details on the index
DE000A2L0RJ4
The RSI Focus Index tracks a selection of closed-end Romanian funds. The selection of index components over the term is static. Weighting is carried out according to defined rules.
Further details on the index
DE000A2L0RK2
The RSI Diversified Index tracks a selection of closed-end Romanian funds. The selection of index components over the term is static. Weighting is carried out according to defined rules.
Further details on the index
DE000A2RPE42
The PG Combined Return Index represents a selection of open-end certificates. The selection of index components over the runtime is static. Weighting is carried out according to defined rules.
Index powered using Thomson Reuters data.
Further details on the indexDE000A26RE70
The objective of the Index is to reflect the performance an investor can achieve through investing into a portfolio of weighted ETFs which provides an improved risk/return profile compared to a passive investment in equity instruments and to protect against major drawdowns during severe market crises. In order to reflect the economic reality given by factors such as availability of instruments, reinvestments of maturing instruments and portfolio size, Index Components may be amended and their weighting adjusted over time.
Further details on the indexDE000SLA33B3
The objective of the Index is to reflect the performance an investor can achieve through investing long/short into such stocks, which serve the goal for an optimized balance between maximum return and risk on a portfolio level. In order to reflect the economic reality given by factors such as availability of instruments, reinvestments of maturing instruments and portfolio size, Index Components may be amended and their weighting adjusted over time.
Further details on the indexDE000A26RVV6
The objective of the Index is to reflect the performance an investor can achieve through investing into such Investment Funds from the Reference Market, in which supposingly hidden champion companies can be found. Hidden champions are companies that tend to be market leaders in their segment and often tend to take leading roles in the markets with their special products. In order to reflect the economic reality given by factors such as availability of instruments, reinvestments of maturing instruments and portfolio size, Index Components may be amended and their weighting adjusted over time.
Further details on the indexDE000A2QATD4
The objective of the Index is to reflect the performance an investor can achieve by regularly investing in such precious metal which experienced the best trailing 12-month total return performance out of all available precious metals. In addition, the Index aims to control the volatility of each asset class (except cash) by dynamically allocating between cash and the relevant asset class to target a 60-day annualized volatility of approximately 15.0%.
Further details on the indexFR0013434362
The objective of the Index is to reflect the performance an investor can achieve by investing in a dynamic portfolio of such 30 listed shares from the Reference Market representing the main common convictions of a group of short-listed managers (the “Selection of Portfolio Managers”). To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the indexDE000A2QCF21
The objective of the Index is to reflect the performance an investor can achieve by investing in a dynamic portfolio of hydrogen related equity securities that has been weighted to achieve an optimized balance between maximum return and risk on a portfolio level. To reflect the economic reality given by factors such as availability of instruments, reinvestment of maturing instruments and portfolio size, Index Components may be replaced, and their weighting adjusted over time.
Further details on the index