Solactive ISS ESG United Kingdom AC Paris-Aligned Benchmark GBP Index TR
The Solactive ISS ESG United Kingdom AC Paris-Aligned Benchmark GBP Index TR is part of the Solactive ISS ESG Paris-Aligned Benchmark Index Series, which aims to track various size and regional segments of the global stock market. The underlying assets are selected in such a manner that the resulting benchmark portfolio’s GHG emissions are aligned with the long-term global warming target of the Paris Climate Agreement, including only companies operating in accordance with market standards for responsible business conduct (Norms-Based Research) and controversial weapons. Those standards are based on established norms such as the United Nations Global Compact and the exclusion of significant involvement in defined sectors. In addition, certain activities are excluded from the index based on fixed revenue thresholds. The series operates in line with the regulations laid out for EU Paris-Aligned Benchmarks (EU PAB) in Commission Delegated Regulation (EU) 2020/1818 of 17 July 2020 supplementing Regulation (EU) 2016/1011 of the European Parliament and European Council as regards the minimum standards for EU Climate Transition Benchmarks and EU Paris-aligned Benchmarks. It is calculated as a TR version in GBP.
Master Data
ISIN: | DE000SL0DYH3 |
Bloomberg Ticker: | |
WKN: | SL0DYH |
Current Quotes
Last quote (07 Dec 2023): | 1216.94 |
Day range: | 1216.94 / 1216.95 |
Change abs./rel.: | 0.06 / 0.00% |
Year range: | 1129.19 / 1285.62 |
Name | Index Shares |
---|---|
KAINOS GROUP PLC | 0.126063 |
DECHRA PHARMACEUTICALS PLC | 0.173854 |
VOLUTION GROUP PLC | 1.132067 |
BT GROUP PLC | 4.487332 |
FUTURE PLC | 0.629978 |
ITV PLC | 3.508353 |
FIRSTGROUP PLC | 2.883962 |
JUST GROUP PLC | 0.611978 |
UNITED UTILITIES PLC | 0.837233 |
MELROSE INDUSTRIES PLC | 1.442353 |
TP ICAP PLC | 0.540211 |
CONVATEC GROUP PLC | 2.953084 |
LANCASHIRE HOLDINGS LTD | 0.164856 |
ADMIRAL GROUP PLC | 0.120058 |
DELIVEROO PLC | 1.32064 |
ASTRAZENECA PLC | 0.884943 |
MITIE GROUP PLC | 1.273707 |
AUCTION TECHNOLOGY GROUP | 0.182434 |
STHREE PLC | 0.28403 |
WISE PLC - A | 0.460066 |
ASHTEAD GROUP PLC | 0.260474 |
FARFETCH LTD | 1.030178 |
LAND SECURITIES GROUP PLC | 0.941723 |
TATE & LYLE PLC | 0.728466 |
AUTO TRADER GROUP PLC | 0.697733 |
PENNON GROUP PLC | 0.740589 |
BYTES TECHNOLOGY LTD | 0.320152 |
ASSOCIATED BRITISH FOODS PLC | 0.400107 |
INFORMA PLC | 0.958995 |
S4 CAPITAL PLC | 0.830463 |
VISTRY GROUP PLC | 0.341261 |
RS GROUP PLC | 0.807777 |
HILTON FOOD GROUP PLC | 0.193789 |
HISCOX LTD | 0.214945 |
MAN GROUP PLC | 0.733243 |
PAGEGROUP PLC | 0.350165 |
FERREXPO PLC | 0.798055 |
BARRATT DEVELOPMENTS PLC | 0.822105 |
BURBERRY GROUP PLC | 0.420282 |
BERKELEY GROUP HOLDINGS PLC | 0.143104 |
HOWDEN JOINERY GROUP PLC | 0.462011 |
MONDI PLC | 0.583465 |
FORTERRA PLC | 2.352409 |
LXI REIT PLC ORD | 4.697737 |
SUPERMARKET INCOME REIT PLC | 5.116997 |
HELIOS TOWERS PLC | 1.501173 |
SAGE GROUP PLC | 0.708228 |
RHI MAGNESITA NV | 0.151111 |
SAFESTORE HOLDINGS PLC | 0.492371 |
BANK OF GEORGIA GROUP PLC | 0.02553 |
GENUIT GROUP PLC | 1.373388 |
ON THE BEACH GROUP PLC | 4.032136 |
UNILEVER PLC | 1.499906 |
DIPLOMA PLC | 0.211807 |
GSK PLC | 2.712152 |
DERWENT LONDON PLC | 0.215466 |
LONDONMETRIC PROPERTY PLC | 2.469764 |
MOLTEN VENTURES PLC | 0.141441 |
MOBICO GROUP PLC | 4.047821 |
TRITAX BIG BOX REIT PLC | 3.5643 |
INTERMEDIATE CAPITAL GROUP PLC | 0.18248 |
HIKMA PHARMACEUTICALS PLC | 0.304201 |
IP GROUP PLC | 1.910926 |
COCA-COLA EUROPACIFIC PARTNERS PLC | 0.198229 |
INTEGRAFIN HOLDINGS PLC | 0.237934 |
AJ BELL PLC | 0.228547 |
EXPERIAN PLC | 0.567045 |
GREAT PORTLAND ESTATES PLC | 0.898159 |
LONDON STOCK EXCHANGE GROUP ORD | 0.214484 |
CLOSE BROTHERS GROUP PLC | 0.105745 |
ASSURA PLC | 8.740563 |
KINGFISHER PLC | 2.721888 |
VODAFONE GROUP PLC | 15.684134 |
EMPIRIC STUDENT PROPERTY PLC | 4.14721 |
CNH INDUSTRIAL NV | 0.895079 |
QUILTER PLC | 0.735078 |
NETWORK INTERNATIONAL HOLDINGS PLC | 0.308666 |
INVESTEC PLC | 0.406377 |
BALANCED COMMERCIAL PROPERTY TRUST | 5.152982 |
CLARKSON PLC | 0.138862 |
DIRECT LINE INSURANCE GROUP PLC | 0.841406 |
BRITISH LAND CO PLC | 1.540637 |
CARNIVAL PLC | 0.384414 |
PREMIER FOODS PLC | 3.3434 |
PHOENIX GROUP HOLDINGS | 0.463523 |
HILL & SMITH PLC | 0.273965 |
TRAINLINE PLC | 1.850759 |
BELLWAY PLC | 0.120931 |
SAVILLS PLC | 0.463289 |
TI FLUID SYSTEMS PLC | 2.827772 |
HALFORDS GROUP PLC | 1.986325 |
TARGET HEALTHCARE REIT PLC | 4.720911 |
VANQUIS BANKING GROUP PLC | 0.224717 |
TRAVIS PERKINS PLC | 0.483125 |
SOFTCAT PLC | 0.140402 |
CRANSWICK PLC | 0.146508 |
BODYCOTE PLC | 0.566166 |
RELX PLC | 1.142942 |
SAGA PLC | 0.762911 |
WIZZ AIR HOLDINGS PLC | 0.179573 |
SHAFTESBURY CAPITAL PLC | 3.838765 |
ASCENTIAL PLC | 0.561561 |
HARGREAVES LANSDOWN PLC ORD | 0.228285 |
MARKS AND SPENCER GROUP PLC | 3.147244 |
BUNZL PLC | 0.332662 |
INCHCAPE PLC | 0.721085 |
UNITE GROUP PLC | 0.602487 |
TAYLOR WIMPEY PLC | 3.071203 |
HAYS PLC | 1.498837 |
PRUDENTIAL PLC | 1.638153 |
GRAINGER PLC | 1.84163 |
REDDE NORTHGATE PLC | 0.15768 |
J D WETHERSPOON PLC | 0.657656 |
PEARSON PLC | 0.53682 |
ASTON MARTIN LAGONDA GLOBAL | 0.463936 |
ITM POWER PLC | 1.226571 |
JUPITER FUND MANAGEMENT PLC | 0.36708 |
ASHMORE GROUP PLC | 0.363164 |
LIBERTY GLOBAL LTD - CLASS C | 0.207042 |
SEVERN TRENT PLC | 0.314012 |
WH SMITH PLC | 0.338999 |
MARSHALLS PLC | 1.734089 |
NOMAD FOODS LTD | 0.365231 |
INTERCONTINENTAL HOTELS GROUP PLC | 0.111638 |
GREGGS PLC | 0.218539 |
TELECOM PLUS PLC | 0.262528 |
RATHBONES GROUP PLC | 0.042721 |
DRAX GROUP PLC | 0.899342 |
SSP GROUP PLC | 0.84319 |
LEGAL & GENERAL GROUP PLC ORD | 3.547967 |
TBC BANK GROUP PLC | 0.033337 |
SMITH & NEPHEW PLC | 0.853811 |
INTERNATIONAL DISTRIBUTIONS SERVICES PLC | 2.008186 |
COMPASS GROUP PLC | 1.067336 |
COMPUTACENTER PLC | 0.080624 |
OSB GROUP PLC | 0.278451 |
STANDARD CHARTERED PLC | 1.411139 |
WHITBREAD PLC | 0.14536 |
ASOS PLC | 1.164345 |
CREST NICHOLSON HOLDINGS PLC | 0.652121 |
BRITVIC PLC | 0.621619 |
NCC GROUP PLC | 1.141577 |
ELEMENTIS PLC | 3.848494 |
NEXT PLC | 0.128199 |
RECKITT BENCKISER GROUP PLC | 0.488288 |
DR. MARTENS PLC | 3.726415 |
TYMAN PLC | 0.467203 |
EASYJET PLC | 1.170646 |
REDROW PLC | 0.377392 |
SIRIUS REAL ESTATE LTD | 4.438313 |
WORKSPACE GROUP PLC | 0.738753 |
AVIVA PLC | 1.639401 |
PRIMARY HEALTH PROPERTIES PLC | 4.093641 |
INDIVIOR PLC | 0.300005 |
RIGHTMOVE PLC | 0.664743 |
UK COMMERCIAL PROPERTY REIT LTD | 7.165883 |
BRIDGEPOINT GROUP-REGS WI | 0.483404 |
OXFORD INSTRUMENTS PLC | 0.185066 |
SPIRAX SARCO ENGINEERING PLC | 0.079966 |
CHRYSALIS INVESTMENTS LTD | 0.541291 |
SPIRENT COMMUNICATIONS PLC | 2.723169 |
IG GROUP HOLDINGS PLC | 0.247437 |
INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA | 4.435839 |
CRODA INTERNATIONAL PLC | 0.150852 |
HAMMERSON PLC | 14.627197 |
RESTAURANT GROUP PLC/THE | 2.703962 |
PARAGON BANKING GROUP PLC | 0.152725 |
JTC PLC | 0.107054 |
PLAYTECH PLC | 0.28809 |
JD SPORTS FASHION PLC | 4.214329 |
IBSTOCK PLC | 2.915435 |
AIRTEL AFRICA PLC | 1.369809 |
SPIRE HEALTHCARE GROUP PLC | 0.605879 |
DIAGEO PLC | 1.446768 |
CURRYS PLC | 3.730943 |
ABRDN PLC | 1.220684 |
CHEMRING GROUP PLC | 1.331216 |
VIRGIN MONEY UK PLC | 0.789774 |
SEGRO PLC | 1.163381 |
SYNTHOMER PLC | 1.677243 |
COATS GROUP PLC | 6.276684 |
OXFORD NANOPORE TECHNOLOGIES PLC | 2.209391 |
BEAZLEY PLC | 0.41717 |
HSBC HOLDINGS PLC | 11.70381 |
LIBERTY GLOBAL LTD - CLASS A | 0.16751 |
LIONTRUST ASSET MANAGEMENT PLC | 0.05722 |
4IMPRINT GROUP PLC | 0.096746 |
ALLFUNDS GROUP PLC | 0.203189 |
RENEWI PLC | 0.64113 |
NINETY ONE PLC | 0.309789 |
REACH PLC | 5.627043 |
JOHNSON MATTHEY PLC | 0.319259 |
RENTOKIL INITIAL PLC | 1.597059 |
ENTAIN PLC | 0.452713 |
SCHRODERS PLC ORD | 0.552652 |
FDM GROUP HOLDINGS PLC | 0.214664 |
VESUVIUS PLC | 0.759106 |
ST JAMES S PLACE PLC ORD | 0.324825 |
DOMINOS PIZZA GROUP PLC | 0.569779 |
DARKTRACE PLC | 0.505324 |
ANTOFAGASTA PLC | 0.478301 |
BIG YELLOW GROUP PLC | 0.401281 |
NATWEST GROUP PLC | 2.71466 |
M&G PLC | 1.347201 |
PERSIMMON PLC | 0.290828 |
MONEYSUPERMARKET.COM GROUP PLC | 0.642116 |
WPP PLC | 0.712494 |
LLOYDS BANKING GROUP PLC | 38.308933 |
PETERSHILL PARTNERS PLC-W/I | 0.007458 |
FRESNILLO PLC | 0.748014 |
DS SMITH PLC | 2.06215 |