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FR0013434347

Venn Collective Alpha Europe Index

Indexwert161.56
Jahresverlauf6.34%
Letzte Berechnung29.11.2024
Beschreibung

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.

 

Index powered using Thomson Reuters data.

Chart

Informationen & Dokumente

DateISINNameWeight
29/11/2024CH0012005267Novartis AG0.033238005
29/11/2024CH0012032048Roche Holding AG0.034211441
29/11/2024CH0038863350Nestle SA0.031853601
29/11/2024CH0210483332Compagnie Financiere Richemont SA0.032009884
29/11/2024DE0005785604Fresenius SE & Co KGaA0.034287951
29/11/2024DE0006231004Infineon Technologies AG0.035029098
29/11/2024DE0006599905Merck KGaA0.032040248
29/11/2024DE0007164600SAP SE0.038846201
29/11/2024DE000BASF111BASF SE0.030369587
29/11/2024DK0062498333Novo Nordisk A/S0.032601846
29/11/2024ES0109067019Amadeus IT Group SA0.035298640
29/11/2024ES0140609019CaixaBank SA0.033917544
29/11/2024ES0148396007Industria de Diseno Textil SA0.034844540
29/11/2024FR0000120172Carrefour SA0.032382104
29/11/2024FR0000120271TotalEnergies SE0.030053796
29/11/2024FR0000120321L'Oreal SA0.028818514
29/11/2024FR0000120578Sanofi SA0.031588833
29/11/2024FR0000121014LVMH Moet Hennessy Louis Vuitton SE0.030084205
29/11/2024FR0000121972Schneider Electric SE0.035681502
29/11/2024FR0000130577Publicis Groupe SA0.036713426
29/11/2024FR0000131906Renault SA0.037897884
29/11/2024GB0000536739Ashtead Group PLC0.038928911
29/11/2024GB0009895292AstraZeneca PLC0.031409693
29/11/2024GB00B0SWJX34London Stock Exchange Group PLC0.038908565
29/11/2024GB00B19NLV48Experian PLC0.033863203
29/11/2024IE0004927939Kingspan Group PLC0.030003844
29/11/2024IT0005239360UniCredit SpA0.032523958
29/11/2024NL0000334118ASM International NV0.030674378
29/11/2024NL0010273215ASML Holding NV0.030529349
29/11/2024NL0011821202ING Groep NV0.031389251
DateISINUnit Change
29/11/2024FR00001210140.00005778
15/11/2024IT00052393600.00244189
04/11/2024ES01406090190.02203005
30/10/2024ES01483960070.00125644
28/10/2024NL00102732150.00001477
07/10/2024NL0011821202-0.00438247
07/10/2024NL00102732150.00175388
07/10/2024NL00003341180.00178845
07/10/2024NL0000226223-0.14613982
07/10/2024NL0000009165-0.06370650
07/10/2024IT0005239360-0.01130638
07/10/2024IE00049279390.00028672
07/10/2024GB00BN7SWP63-0.32040377
07/10/2024GB00B19NLV480.12106942
07/10/2024GB00B0SWJX340.04629934
07/10/2024GB0009895292-0.00033092
07/10/2024GB0000536739-0.01208667
07/10/2024FR0010307819-0.06003745
07/10/2024FR00001319060.03781987
07/10/2024FR00001305770.00144036
07/10/2024FR0000125007-0.07335841
07/10/2024FR0000121972-0.00123750
07/10/2024FR00001210140.00030258
07/10/2024FR0000120628-0.17752000
07/10/2024FR0000120578-0.00697057
07/10/2024FR00001203210.00033024
07/10/2024FR00001202710.08832765
07/10/2024FR0000120172-0.03709069
07/10/2024FR0000120073-0.03470904
07/10/2024ES0148396007-0.01828605
07/10/2024ES0140609019-0.07536543
07/10/2024ES01090670190.08585828
07/10/2024DK00624983330.00831054
07/10/2024DE000BASF1110.11566216
07/10/2024DE0007164600-0.00210101
07/10/2024DE0006599905-0.00062341
07/10/2024DE00062310040.02508222
07/10/2024DE0005785604-0.02846791
07/10/2024CH0210483332-0.00074962
07/10/2024CH00388633500.06268494
07/10/2024CH0012032048-0.00248783
07/10/2024CH00120052670.05363466
20/09/2024NL00002262230.00040288
18/09/2024CH02104833320.00061112
04/09/2024IE00049279390.00017071
14/08/2024GB00BN7SWP630.00300849
14/08/2024DK00624983330.00012240
07/08/2024GB00098952920.00024475
07/08/2024GB00005367390.00127071
02/08/2024NL00118212020.00666098
30/07/2024NL00000091650.00045634
26/07/2024NL00102732150.00000901
05/07/2024SE0017486889-0.33805267
05/07/2024NL0011821202-0.01217759
05/07/2024NL0010273215-0.00017890
05/07/2024NL0000334118-0.00140242
05/07/2024NL00002262230.00793941
05/07/2024NL00000091650.00094384
05/07/2024IT0005239360-0.00465783
05/07/2024IE00049279390.06762264
05/07/2024GB00BN7SWP630.03044784
05/07/2024GB00B24CGK77-0.11121186
05/07/2024GB0009895292-0.00367059
05/07/2024GB00005367390.01344444
05/07/2024FR00103078190.06003745
05/07/2024FR00001319060.11324429
05/07/2024FR00001305770.00166135
05/07/2024FR0000125007-0.00044255
05/07/2024FR0000121972-0.00099842
05/07/2024FR00001210140.00121494
05/07/2024FR00001206280.17752000
05/07/2024FR0000120578-0.00130928
05/07/2024FR00001203210.00061565
05/07/2024FR00001201720.04943831
05/07/2024FR00001200730.00289430
05/07/2024FR0000051807-0.05903687
05/07/2024ES01483960070.00383947
05/07/2024ES0140609019-0.00876561
05/07/2024DK0062498333-0.00254928
05/07/2024DE0007164600-0.00060203
05/07/2024DE00065999050.00157950
05/07/2024DE0006231004-0.00766539
05/07/2024DE0005785604-0.01472103
05/07/2024CH0418792922-0.01980452
05/07/2024CH02104833320.00030631
05/07/2024CH0012032048-0.00138981
28/06/2024FR00001305770.00141441
21/06/2024NL00002262230.00025936
07/06/2024FR00001250070.00146847
07/06/2024FR00001200730.00289196
27/05/2024FR00001219720.00028725
27/05/2024FR00001201720.01421677
27/05/2024FR00000518070.00158226
17/05/2024FR00001200730.00037554
15/05/2024GB00BN7SWP630.00237474
15/05/2024DE00071646000.00028244
14/05/2024NL00003341180.00003505
10/05/2024FR00001205780.00192339
26/04/2024NL00000091650.00060364
26/04/2024ES01483960070.00167088
26/04/2024DE00065999050.00038142
25/04/2024NL00102732150.00001052
25/04/2024FR00001203210.00015075
24/04/2024SE00174868890.00172073
23/04/2024NL00118212020.01476611
22/04/2024FR00001210140.00004744
19/04/2024IT00052393600.00605374
10/04/2024GB00B24CGK770.00299407
08/04/2024SE00174868890.33633194
08/04/2024NL0011821202-0.03931543
08/04/2024NL0010273215-0.00183458
08/04/2024NL0000334118-0.00204266
08/04/2024NL00002262230.13753817
08/04/2024NL00000091650.06170268
08/04/2024IT0005239360-0.04182292
08/04/2024GB00BN7SWP630.28457270
08/04/2024GB00B24CGK770.02984568
08/04/2024GB00B0SWJX34-0.04799074
08/04/2024GB00098952920.00268897
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08/04/2024FR0000120693-0.03373106
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08/04/2024FR00000518070.01938761
08/04/2024ES0148396007-0.01283714
08/04/2024ES0140609019-0.20171763
08/04/2024DK0062498333-0.00643243
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08/04/2024DE0006599905-0.00046114
08/04/2024DE00062310040.02462038
08/04/2024DE00057856040.03341487
08/04/2024CH04187929220.01980452
08/04/2024CH0210483332-0.00224324
08/04/2024CH0038863350-0.04730638
08/04/2024CH00120320480.00494335
27/03/2024ES01406090190.08804080
21/03/2024DK00624983330.00027445
19/03/2024FR00001202710.00072600
13/03/2024CH00120320480.00050119
23/02/2024DE00062310040.00110548
21/02/2024GB00098952920.00062946
02/02/2024NL00102732150.00001162
12/01/2024FR00001214850.00012170
10/01/2024GB00005367390.00021317
08/01/2024NL00118212020.00620530
08/01/2024NL0010273215-0.00081135
08/01/2024NL0000334118-0.00062522
08/01/2024IT0005239360-0.01862388
08/01/2024GB00B24CGK770.00638102
08/01/2024GB00B0SWJX340.04799074
08/01/2024GB00098952920.00244544
08/01/2024GB00005367390.00129482
08/01/2024FR00103078190.00005183
08/01/2024FR00001311040.00022549
08/01/2024FR0000130577-0.00702400
08/01/2024FR0000125007-0.08755056
08/01/2024FR00001214850.00184934
08/01/2024FR00001210140.00070819
08/01/2024FR00001206930.00330090
08/01/2024FR00001205780.00682085
08/01/2024FR0000120321-0.00061543
08/01/2024FR00001202710.08314386
08/01/2024FR00001201720.00626681
08/01/2024FR0000120073-0.00081393
08/01/2024FR00000518070.03806700
08/01/2024ES0148396007-0.00530683
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08/01/2024CH02104833320.00065379
08/01/2024CH00388633500.00150993
08/01/2024CH00120320480.00007154
01/12/2023FR00001210140.00003886
23/11/2023FR00001206930.00036157
31/10/2023NL00102732150.00001857
30/10/2023ES01483960070.00202839
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06/10/2023IT0004965148-0.07785468
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06/10/2023CH00388633500.04579645
06/10/2023CH0013841017-0.00889835
06/10/2023CH00120320480.00089873
19/09/2023CH02104833320.00064718
12/09/2023DK00605349150.03337406
23/08/2023GB00023740060.00191172
17/08/2023DK00605349150.00011481
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04/08/2023NL00118212020.00879895
02/08/2023GB00B24CGK770.00096180
31/07/2023NL00102732150.00001418
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07/07/2023GB00098952920.00374948
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Universe of Index Components

Equity securities of companies from the Reference Market, including in particular stocks listed in Austria, Belgium, Denmark, Finland, France, Germany, Ireland, Italy, Luxembourg, the Netherlands, Norway, Poland, Portugal, Spain, Sweden, Switzerland, and United Kingdom.

Index Components and their selection

1. Funds Selection
The eligible Funds Selection is deemed to include 20 to 30 funds investing in the European Region. The selection is determined annually in January on the last Business Day (the "Funds Selection Day").
Eligible funds must meet the following criteria. They must:
a) Be managed with a fundamental investment philosophy,
b) Be managed in a concentrated way: top ten portfolio positions > 25%,
c) Have a portfolio value> EUR 30 million.
The Funds Selection remains the same until the next Funds Selection Day unless any of the funds no longer meets the criteria or due to any event that substantially changes the way a portfolio is managed. The definition of a substantial change is at the discretion of the Index Allocator.
2. Selection of Securities
The eligible securities are determined quarterly from the aggregation of all the positions held in the portfolios of the Funds Selection on the basis of the latest published inventories available (annual/semi-annual reports and contributions within data providers in Europe).
Selected securities must fulfil the following criteria at the Rebalancing Determination Date to be eligible for the index component selection. The following process is applied:
a) Eligible securities are ranked by decreasing aggregated weightings of positions held by the Funds Selection;
b) eligible securities must be listed on an exchange;
c) only shares are eligible for the index component selection;
d) singletons defined as only one security line selected by a fund out of the Funds Selection are not eligible;
e) Securities whose aggregated weighting is composed for more than two-thirds of a single funds are normalised. The normalisation is done by allocating, to this specific single fund, the average weight calculated from the remaining funds holding the specific security;
f) if multiple lines of a stock qualify for the Index, the less liquid stock is removed;
g) the index component selection is then composed of the 30 top remaining eligible securities.
With each selection of securities and a following rebalancing, an equal weight of the Index Components is applied.

Die Einzelheiten (Score) der in Anhang II der Delegierten Verordnung (EU) 2020/1816 der Kommission aufgeführten Umwelt-, Sozial- und Governance (ESG)-Faktoren sind nachstehend in Form eines aggregierten gewichteten Durchschnittswerts auf Ebene des Index ausgewiesen. In Anhang II der Delegierten Verordnung (EU) 2020/1816 der Kommission als „freiwillig“ gekennzeichnete ESG-Faktoren sind nicht ausgewiesen.

Stand der Index-Zusammensetzung: 08.11.2024 / Stand der ESG-Daten: 10.2024

 WertAbdeckung
Umweltfaktoren
Grad der Risikoposition des Portfolios gegenüber den in den Abschnitten A bis H und Abschnitt L von Anhang I der Verordnung (EG) Nr. 1893/2006 des Europäischen Parlaments und des Rates aufgeführten Wirtschaftszweigen als Prozentsatz des Gesamtgewichts im Portfolio.72.04%96.82%
THG-Emissionsintensität des Referenzwerts.11.350296.82%
Prozentualer Anteil der berichteten THG-Emissionen gegenüber den Schätzungen.
berichtet96.82%96.82%
geschätzt0.00%
Risikoposition des Referenzwert-Portfolios gegenüber Unternehmen, deren Tätigkeiten in die Abteilungen 05 bis 09, 19 und 20 des Anhangs I der Verordnung (EG) Nr. 1893/2006 fallen.5.99%96.82%
Risikoposition des Referenzwert-Portfolios gegenüber Unternehmen, deren Tätigkeiten in den Wirtschaftszweig Umweltgüter und -dienstleistungen gemäß der Definition in Artikel 2 Ziffer 5 der Verordnung (EU) Nr. 691/2011 des Europäischen Parlaments und des Rates fallen.44.49%96.82%
Sozialfaktoren
Internationale Verträge und Konventionen, Grundsätze der Vereinten Nationen oder, falls anwendbar, nationale Rechtsvorschriften zur Bestimmung, was eine „umstrittene Waffe“ darstellt.please see LIXX ESG Factor Disclosure Information-
Gewichteter durchschnittlicher Prozentsatz der Referenzwert-Bestandteile im Sektor der umstrittenen Waffen.0.00%96.82%
Gewichteter durchschnittlicher Prozentsatz der Referenzwert-Bestandteile im Sektor Tabak.0.00%96.82%
Anzahl der Referenzwert-Bestandteile, die sozialen Verstößen ausgesetzt sind (absolute Zahl und relativer Anteil geteilt durch alle Referenzwert-Bestandteile), nach Maßgabe internationaler Verträge und Konventionen, der Grundsätze der Vereinten Nationen und, falls anwendbar, nationaler Rechtsvorschriften.
absolut0.000096.82%
relativer Anteil0.00%
Risikoposition des Referenzwert-Portfolios gegenüber Unternehmen ohne Vorschriften zur Sorgfaltsprüfung in Bezug auf Fragen, die in den grundlegenden Konventionen 1 bis 8 der Internationalen Arbeitsorganisation behandelt werden.0.00%96.82%
Gewichtetes durchschnittliches Gehaltsgefälle zwischen Frauen und Männern.0.050257.65%
Gewichtetes durchschnittliches Verhältnis von weiblichen zu männlichen Mitgliedern in Leitungsorganen.0.689496.82%
Gewichtetes durchschnittliches Verhältnis von Unfällen, Verletzungen und Todesfällen.0.264043.16%
Anzahl der Verurteilungen und Höhe der Geldstrafen für Verstöße gegen Korruptions- und Bestechungsvorschriften.NA-
Governance-Faktoren
Gewichteter durchschnittlicher Prozentsatz der unabhängigen Leitungsorganmitglieder.65.18%96.82%
Gewichteter durchschnittlicher Prozentsatz von weiblichen Mitgliedern des Leitungsorgans.39.79%96.82%

Hinweis: Falls keine Daten für einzelne ESG-Faktoren zur Verfügung stehen, wird dies mit “NA” in der Tabelle oben ausgewiesen. Die Abdeckung ist definiert als das aggregierte Gewicht aller Indexkomponenten, für die relevante ESG-Daten verfügbar sind. Wenn also nicht für alle Indexkomponenten Daten für einzelne ESG-Faktoren verfügbar sind, kann die in der obigen Tabelle angegebene Abdeckung unter 100 % liegen.

Eine ausführliche Beschreibung der einzelnen ESG-Faktoren sowie der zugehörigen Berechnungsformel finden Sie im englischsprachigen Dokument „LIXX ESG Factor Disclosure Information“ hier abrufbar.

Zur Berechnung der Einzelheiten (Score) der ESG-Faktoren ist LIXX auf externe ESG-Daten von Dritten angewiesen. LIXX übernimmt keine Verantwortung für fehlerhafte Einzelheiten (Score) aufgrund von fehlerhaften externen ESG-Daten.