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DE000A2QCF21

H₂ Technologie Index

Index Value92.48
Month course4.21%
Course of the year-7.25%
Last calculation27.03.2024
Description

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.

 

Index powered using Thomson Reuters data.

Chart

Information & documents

DateISINNameWeight
27/03/2024CNE1000004L9Weichai Power Co Ltd0.091867071
27/03/2024DE0006095003Encavis AG0.060943345
27/03/2024DE000A0D6554Nordex SE0.063617766
27/03/2024DE000A0DJ6J9SMA Solar Technology AG0.025182177
27/03/2024DE000ENER6Y0Siemens Energy AG0.067675360
27/03/2024DK0060094928Oersted A/S0.026423608
27/03/2024DK0061539921Vestas Wind Systems A/S0.061600694
27/03/2024ES0144580Y14Iberdrola SA0.064552283
27/03/2024FR0000120073L'Air Liquide Societe Anonyme pour l'Etude et l'Exploitation des Procedes George0.097350960
27/03/2024FR0011675362Neoen SA0.025237395
27/03/2024GB00BZ4BQC70Johnson Matthey PLC0.063927863
27/03/2024IE000S9YS762Linde PLC0.098224650
27/03/2024IT0003132476Eni SpA0.025039265
27/03/2024JP3633400001Toyota Motor Corp0.104267539
27/03/2024KYG9829N1025Xinyi Solar Holdings Ltd0.058626961
27/03/2024NO0010715139Scatec ASA0.065463062
DateISINUnit Change
18/03/2024NO00107151390.10300222
18/03/2024KYG9829N10257.66707764
18/03/2024JP36334000010.40999888
18/03/2024IT0003132476-0.49763315
18/03/2024IE000S9YS762-0.00492143
18/03/2024GB00BZ4BQC70-0.03554117
18/03/2024FR0011675362-0.11671206
18/03/2024FR0000120073-0.00867477
18/03/2024ES0165386014-0.53625984
18/03/2024ES0144580Y14-0.01257479
18/03/2024ES0130960018-0.15023181
18/03/2024ES0127797019-0.13731899
18/03/2024DK0061539921-0.01435162
18/03/2024DK00600949280.04739449
18/03/2024DE000ENER6Y00.38013204
18/03/2024DE000A0DJ6J90.04111109
18/03/2024DE000A0D6554-0.13159803
18/03/2024DE0007037129-0.14928197
18/03/2024DE00060950030.16843587
18/03/2024CNE1000004L94.90222355
18/03/2024CA09950M3003-0.26512015
18/03/2024CA0585861085-0.74530224
15/03/2024IT00031324760.00807327
12/03/2024IE000S9YS7620.00005757
27/02/2024CA09950M30030.00114680
08/01/2024ES0144580Y140.00720884
19/12/2023ES01309600180.00512129
18/12/2023NO0010715139-0.14932280
18/12/2023JP3633400001-0.53494940
18/12/2023IT00031324760.00416424
18/12/2023IE000S9YS762-0.00081761
18/12/2023GB00BZ4BQC700.31777563
18/12/2023GB00BG5KQW09-1.41791380
18/12/2023FR0011675362-0.00727009
18/12/2023FR0000120073-0.00396286
18/12/2023ES01653860140.36988662
18/12/2023ES0144580Y14-0.02818511
18/12/2023ES0130960018-0.22533459
18/12/2023ES01277970190.13731899
18/12/2023DK00615399210.23441481
18/12/2023DE000ENER6Y0-0.19365011
18/12/2023DE000A0DJ6J9-0.09716176
18/12/2023DE000A0D65540.61604532
18/12/2023DE00070371290.08220560
18/12/2023DE00060950030.16586257
18/12/2023CNE1000004L9-4.86921905
18/12/2023CA09950M30030.26397335
18/12/2023CA05858610850.09184631
18/12/2023CA0158571053-1.09766796
30/11/2023IE000S9YS7620.00006194
17/11/2023IT00031324760.00733441
27/09/2023CNE1000004L90.10062422
26/09/2023CA01585710530.00471632
19/09/2023NO00107151391.02467084
19/09/2023NO0010081235-2.25737188
19/09/2023KYG9829N1025-6.29319421
19/09/2023KR7005380001-0.03176515
19/09/2023JP3633400001-0.20470243
19/09/2023IT00031324760.42132047
19/09/2023IE000S9YS7620.00652048
19/09/2023GB00BG5KQW090.74107258
19/09/2023FR00116753620.21494279
19/09/2023FR0000120073-0.00668324
19/09/2023ES01653860140.16637322
19/09/2023ES0144580Y14-0.05054503
19/09/2023ES0130960018-0.02428933
19/09/2023DK0061539921-0.10647412
19/09/2023DK0060094928-0.07631901
19/09/2023DE000ENER6Y0-0.48092675
19/09/2023DE000A0DJ6J90.01971128
19/09/2023DE00070371290.06707637
19/09/2023CNE1000004L9-0.28911205
19/09/2023CA05858610850.65345593
19/09/2023CA0158571053-0.52993792
15/09/2023IT00031324760.00250789
31/08/2023IE000S9YS7620.00004995
10/08/2023KYG9829N10250.05951949
27/07/2023CNE1000004L90.07047566
06/07/2023ES0144580Y140.01317370
03/07/2023ES01309600180.01887796
28/06/2023CA01585710530.00896878
16/06/2023SE0006425815-0.24210984
16/06/2023NO0010081235-3.15390234
16/06/2023KYG9829N10256.23367472
16/06/2023KR7336260005-0.27597101
16/06/2023KR70053800010.07730407
16/06/2023JP36334000010.73965183
16/06/2023IT0003132476-0.35657363
16/06/2023IE000S9YS762-0.00110528
16/06/2023GB00BZ4BQC70-0.30958707
16/06/2023GB00BG5KQW090.67684122
16/06/2023GB00B0130H42-2.86090477
16/06/2023FR0000120073-0.00726384
16/06/2023ES0144580Y14-0.02697415
16/06/2023ES01309600180.21951772
16/06/2023DK0061539921-0.14795738
16/06/2023DK00600949280.07631901
16/06/2023DE000ENER6Y0-0.08351888
16/06/2023DE000A0DJ6J9-0.05644050
16/06/2023DE000A0D6554-0.80613946
16/06/2023DE0007037129-0.07078903
16/06/2023CNE1000004L90.11106019
16/06/2023CA01585710530.89763529
07/06/2023GB00BZ4BQC700.00947540
31/05/2023IE000S9YS7620.00005752
19/05/2023IT00031324760.00692569
12/05/2023FR00001200730.00099324
04/05/2023DE00070371290.00111881
19/04/2023ES0144580Y140.00021190
17/03/2023IT00031324760.00756947
16/03/2023SE00064258150.24210984
16/03/2023NO0010715139-0.33935931
16/03/2023NO00100812350.71494929
16/03/2023KR7336260005-0.00401274
16/03/2023IT00031324760.35090591
16/03/2023IE000S9YS762-0.01316418
16/03/2023GB00BZ4BQC700.30011167
16/03/2023GB00B0130H422.86090477
16/03/2023FR0011675362-0.18397105
16/03/2023FR00001200730.02262419
16/03/2023ES0144580Y14-0.01137834
16/03/2023ES01309600180.15633876
16/03/2023ES0127797019-0.12300653
16/03/2023ES0125220311-0.01508026
16/03/2023DK0061539921-0.14988568
16/03/2023DE000ENER6Y00.16764958
16/03/2023DE000A0DJ6J9-0.02782864
16/03/2023DE000A0D6554-0.06895668
16/03/2023DE0007037129-0.08916503
16/03/2023DE0006095003-0.34919368
16/03/2023CNE1000004L94.87617103
10/03/2023IE000S9YS7620.00009629
07/03/2023FR00116753620.01412898
05/01/2023ES0144580Y140.00824568
16/12/2022NO00107151390.33935931
16/12/2022NO00100812354.69632493
16/12/2022KR73362600050.27998375
16/12/2022KR7005380001-0.07538108
16/12/2022JP3633400001-0.48216145
16/12/2022IT0003132476-0.04233050
16/12/2022IE00BZ12WP820.00990317
16/12/2022GB00BZ4BQC70-0.12231718
16/12/2022FR00116753620.00259872
16/12/2022FR00001200730.04953973
16/12/2022ES0165386014-0.33770610
16/12/2022ES0144580Y14-0.03257036
16/12/2022ES0127797019-0.15672480
16/12/2022ES0125220311-0.03905961
16/12/2022DK00615399210.27955642
16/12/2022DE000ENER6Y00.39679605
16/12/2022DE000A0DJ6J9-0.04889624
16/12/2022DE000A0D65540.87509614
16/12/2022DE0007037129-0.00914721
16/12/2022DE00060950030.02088631
16/12/2022CNE1000004L9-2.36245382
16/12/2022CA09950M3003-0.31396738
07/12/2022GB00BZ4BQC700.00130062
30/11/2022IE00BZ12WP820.00006421
28/11/2022CA09950M30030.00105900
18/11/2022IT00031324760.00284191
21/09/2022CNE1000004L90.02616979
16/09/2022NO0010904923-2.42633531
16/09/2022NO0010081235-2.22908741
16/09/2022KR70053800010.07538108
16/09/2022JP36334000010.06290888
16/09/2022IT0003132476-0.26715578
16/09/2022IE00BZ12WP820.01489150
16/09/2022GB00BZ4BQC70-0.15370071
16/09/2022FR0011675362-0.01238609
16/09/2022FR0000120073-0.01956717
16/09/2022ES0165386014-0.16751051
16/09/2022ES0144580Y14-0.01887472
16/09/2022ES01277970190.27973133
16/09/2022ES0125220311-0.00440165
16/09/2022DK00615399210.12476076
16/09/2022DE000A0DJ6J90.05366692
16/09/2022DE0007037129-0.00564319
16/09/2022DE0006095003-0.25119327
16/09/2022CNE1000004L92.33628403
16/09/2022CA09950M3003-0.03819176
16/09/2022CA0158571053-0.20997640
31/08/2022IE00BZ12WP820.00002922
29/08/2022CA09950M30030.00087565
07/07/2022ES0144580Y140.01437083
04/07/2022ES01252203110.00108693
28/06/2022CA01585710530.00206792
16/06/2022SE0006425815-0.40481196
16/06/2022NO00109049230.23024579
16/06/2022NO0010081235-1.89423937
16/06/2022JP36334000010.23408461
16/06/2022IT0003132476-0.39158409
16/06/2022IE00BZ12WP82-0.00076274
16/06/2022GB00BZ4BQC700.27471727
16/06/2022FR0011742329-0.34360140
16/06/2022FR0011675362-0.00779445
16/06/2022FR0000120073-0.00121846
16/06/2022ES0165386014-0.08059927
16/06/2022ES0144580Y14-0.06672496
16/06/2022ES01252203110.01338892
16/06/2022DE000A0DJ6J90.15694894
16/06/2022DE000A0D6554-0.42130850
16/06/2022DE0007037129-0.13517207
16/06/2022DE0006095003-0.07090702
16/06/2022CA09950M30030.24790101
16/06/2022CA01585710530.20790848
08/06/2022ES0144580Y140.00027109
03/06/2022FR00001200730.00188960
01/06/2022IE00BZ12WP820.00002799
31/05/2022FR00116753620.00036150
27/05/2022CA09950M30030.00031090
20/05/2022IT00031324760.02084440
19/05/2022DE00060950030.00717645
13/05/2022FR00001200730.00025421
28/04/2022DE00070371290.00509057
23/03/2022NO00100812350.00247251
16/03/2022SE00064258150.02474914
16/03/2022NO00109049232.19608952
16/03/2022NO00100812352.24040613
16/03/2022KYG9829N1025-4.18983926
16/03/2022KR7336260005-0.19171330
16/03/2022JP3633400001-0.24682777
16/03/2022IT0003132476-0.05898195
16/03/2022IE00BZ12WP82-0.02790773
16/03/2022GB00BG5KQW09-0.25006807
16/03/2022GB00B0130H42-1.58127149
16/03/2022FR00117423290.34360140
16/03/2022FR0011675362-0.01331646
16/03/2022FR0000120073-0.05556596
16/03/2022ES01653860140.15940683
16/03/2022ES0144580Y140.71856075
16/03/2022ES0125220311-0.02742809
16/03/2022DK0060094928-0.02565412
16/03/2022DE000A0D65540.42130850
16/03/2022DE00070371290.09844709
16/03/2022DE00060950030.45612369
16/03/2022CA09950M30030.10201258
09/03/2022IE00BZ12WP820.00011376
16/12/2021SE00064258150.38006282
16/12/2021NO00100812351.88044814
16/12/2021KYG9829N1025-2.02204061
16/12/2021KR7336260005-0.00142916
16/12/2021JP3633400001-0.31096817
16/12/2021IT00031324760.27218382
16/12/2021IE00BZ12WP82-0.00546436
16/12/2021GB00BG5KQW09-0.26648142
16/12/2021GB00B0130H420.96337171
16/12/2021FR00116753620.20037885
16/12/2021FR0000120073-0.00317261
16/12/2021ES01653860140.42640905
16/12/2021ES0144580Y14-0.30475936
16/12/2021ES01252203110.02076117
16/12/2021DK0061539921-0.20819855
16/12/2021DK0060094928-0.03361526
16/12/2021DE0007856023-0.22726909
16/12/2021DE0007037129-0.01440111
16/12/2021DE00060950030.18710752
16/12/2021CA09950M3003-0.10996582
16/12/2021CA0158571053-0.54715838
01/12/2021IE00BZ12WP820.00010620
26/11/2021CA09950M30030.00037624
28/09/2021JP36334000010.59437112
27/09/2021CA01585710530.00462438
17/09/2021IT00031324760.01964182
16/09/2021KYG9829N10251.35350876
16/09/2021KR73362600050.19314246
16/09/2021KR7005380001-0.04070460
16/09/2021JP3633400001-0.00115485
16/09/2021IT0003132476-0.41994510
16/09/2021IE00BZ12WP82-0.00409811
16/09/2021GB00BZ4BQC70-0.30726568
16/09/2021GB00BG5KQW090.27387272
16/09/2021GB00B0130H42-0.98414606
16/09/2021FR00001200730.02852979
16/09/2021ES0144580Y140.30475936
16/09/2021ES0125220311-0.00235588
16/09/2021DK00615399210.20819855
16/09/2021DK00600949280.05926938
16/09/2021DE000ENER6Y0-0.10916917
16/09/2021DE000A0D6554-0.16659660
16/09/2021DE0007856023-0.23331177
16/09/2021DE00070371290.21966117
16/09/2021CNE1000004L9-4.16024626
16/09/2021CA09950M3003-0.16014241
16/09/2021CA0585861085-0.20048807
16/09/2021CA01585710530.54253400
01/09/2021IE00BZ12WP820.00011990
27/08/2021CA09950M30030.00087452
16/08/2021KYG9829N10250.05433705
28/07/2021CNE1000004L90.06281531
02/07/2021ES01252203110.00131466
01/07/2021DE000A0D65540.01040253
16/06/2021SE0006425815-0.11108696
16/06/2021NO0010715139-0.29112716
16/06/2021KYG9829N10254.80403406
16/06/2021KR7005380001-0.00369727
16/06/2021JP36334000010.02859809
16/06/2021IT0003132476-0.15843777
16/06/2021IE00BZ12WP820.04724138
16/06/2021GB00BZ4BQC700.30726568
16/06/2021GB00BG5KQW09-0.67832834
16/06/2021GB00B0130H42-0.67253367
16/06/2021FR00001200730.04885060
16/06/2021ES0165386014-0.16358544
16/06/2021ES0143416115-0.26394204
16/06/2021ES0125220311-0.00497644
16/06/2021DK0061539921-0.09867460
16/06/2021DK0060094928-0.02317183
16/06/2021DE000ENER6Y00.10916917
16/06/2021DE000A0D65540.15619407
16/06/2021DE0007856023-0.38510885
16/06/2021DE0006095003-0.43393512
16/06/2021CNE1000004L90.78050682
16/06/2021CA09950M30030.26885747
16/06/2021CA0585861085-0.15575852
27/05/2021DE00060950030.00574123
21/05/2021IT00031324760.02132372
26/04/2021DK00102686060.07893968
20/04/2021NO00107151390.00096775
08/04/2021DK00102686060.00009724
16/03/2021SE00064258150.11108696
16/03/2021NO00107151390.01111384
16/03/2021NO0003067902-0.64908299
16/03/2021KR7336260005-0.18760102
16/03/2021KR7005380001-0.01156770
16/03/2021JP36334000010.07074364
16/03/2021IT00031324761.20594292
16/03/2021IE00BZ12WP82-0.01552931
16/03/2021GB00BG5KQW090.27909099
16/03/2021GB00B0130H422.27457951
16/03/2021FR0011742329-0.41945371
16/03/2021FR0011675362-0.15118471
16/03/2021FR0000120073-0.02366956
16/03/2021ES0165386014-0.44492310
16/03/2021ES0143416115-0.18096512
16/03/2021ES01252203110.05675025
16/03/2021DK0060094928-0.03218202
16/03/2021DK0010268606-0.05389043
16/03/2021DE00078560230.32830957
16/03/2021DE00060950030.00884367
16/03/2021CNE1000004L93.31692413
16/03/2021CA05858610850.35624659
03/03/2021IE00BZ12WP820.00004968
01/03/2021DK00600949280.00046568
16/12/2020NO0010904923-0.23500802
16/12/2020NO00107151390.12960805
16/12/2020NO0010081235-5.70711106
16/12/2020NO0003067902-1.46097778
16/12/2020KR7336260005-0.07579777
16/12/2020KR70053800010.00724347
16/12/2020JP36334000010.05040590
16/12/2020IE00BZ12WP82-0.01398659
16/12/2020GB00BG5KQW090.20185075
16/12/2020GB00B0130H42-2.36715525
16/12/2020FR00117423290.02341411
16/12/2020FR00116753620.01010119
16/12/2020FR00001200730.00595163
16/12/2020ES01653860140.17327177
16/12/2020ES01434161150.16362903
16/12/2020DK00600949280.00053169
16/12/2020DK00102686060.02422724
16/12/2020DE00078560230.51738014
16/12/2020DE00060950030.41935022
16/12/2020CA0585861085-0.20549240
01/12/2020IE00BZ12WP820.00008211
26/10/2020KR73362600050.00496199

Universe of Index Components

Equity securities of companies from the Reference Market.

Index Components and their selection

On the last Business Day (close-of-business) before a Rebalancing Determination Date (each a "Selection Day") the following determinations are made:
1. Securities of companies from the Reference Market, whose average daily trading volume over the previous six (6) months was at least EUR 1 million are selected and whose market capitalization at the time of inclusion into the Index was at least 100 million EUR. The resulting securities are adjusted in discretion of the Index Allocator and form the "Selection Pool".
2. Securities out of the Selection Pool are ranked by the ratio of the achieved performance divided by the measured volatility (the "Selection Factor"), whereas the relevant period for performance and volatility will be between 0 – 6 months, in discretion of the Index Allocator. Such securities form the "Filtered Selection Pool".
3. Securities from the Filtered Selection Pool are selected for inclusion in the Index as follows:
• The four shares with the highest Selection Factor are selected for inclusion in the Index and receive an initial weighting of 10% each.
• The four shares with the lowest Selection Factor are selected for inclusion in the Index and receive an initial weighting of 2.5% each.
• The remaining eight shares ranked from position 5 to 12 are selected for inclusion in the Index and are initially weighted at 6.25% each.

Identifier: DE000A2QCF21 WKN: A2QCF2
Bloomberg Ticker: LIXXH2TI Index Sponsor: Albrecht, Kitta & Co. Vermögensverwaltung GmbH

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