Solactive Sustainable Development Goals High Dividend Low Volatility USD Index N
The Solactive Sustinable Development Goals High Dividend Low Volatility USD Index aims to track the performance of high dividend and low volatility, Developed Markets securities including only companies operating in accordance with market standards for responsible business conduct (Norms-Based Research), that do not derive revenue at specified thresholds from indicated industries (Sector-Based Screening), and that do not receive a negative aggregate score from an assessment of revenue derived from products or services obstructing the Sustainable Development Goals (SDG Solutions Assessment). The index is calculated as a NTR version in USD.
Master Data
| ISIN: | DE000SL0A923 |
| Bloomberg Ticker: | |
| WKN: | SL0A92 |
Current Quotes
| Last quote (22 Sep 2026): | 3691.01 |
| Day range: | 3681.83 / 3697.70 |
| Change abs./rel.: | 5.93 / 0.16% |
| Year range: | 3371.25 / 3832.05 |
| Name | Number of shares |
|---|---|
| PEARSON PLC | 6.36068 |
| ELISA OYJ CLASS A | 3.267836 |
| TOKYO METRO CO LTD | 13.361944 |
| LIXIL GROUP CORP | 11.266157 |
| HKT TRUST AND HKT LTD | 88.39424 |
| MAPLETREE INDUSTRIAL TRUST | 114.835662 |
| BCE INC | 5.812436 |
| KINGSPAN GROUP PLC | 0.668002 |
| DAIWA HOUSE INDUSTRY CO LTD ORD | 4.148163 |
| INDUSTRIA DE DISENO TEXTIL SA | 1.326528 |
| ROYALTY PHARMA PLC- CL A | 1.902825 |
| TELSTRA GROUP LTD | 43.232069 |
| SNAP-ON INC | 0.238709 |
| FASTENAL CO | 1.742142 |
| FORTESCUE METALS GROUP LTD | 6.625658 |
| PROCTER & GAMBLE CO | 0.696536 |
| DAIWA HOUSE REIT INVESTMENT CORP | 0.231024 |
| UNITED OVERSEAS BANK LTD | 4.817811 |
| EDISON INTERNATIONAL | 1.491255 |
| HYDRO ONE LTD | 3.994195 |
| MTR CORPORATION LTD | 30.500248 |
| SOFTBANK CORP | 94.046472 |
| AMERICAN WATER WORKS CO INC | 0.8006 |
| HALEON PLC | 22.226519 |
| MOWI ASA | 5.279524 |
| ROYAL BANK OF CANADA | 0.812204 |
| ORIX JREIT INC ORD | 0.264177 |
| COLGATE-PALMOLIVE CO | 1.040996 |
| OJI PAPER CO LTD | 23.365143 |
| NOMURA REAL ESTATE MASTER FUND INC | 0.188379 |