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Ordinary Adjustment | Solactive Ex-North America DM Select Global Aggregate Bond Index | 28th October 2021

As part of the ordinary adjustment of the index, the composition of the Solactive Ex-North America DM Select Global Aggregate Bond Index (DE000SL0AYB2) was reviewed on Wednesday, 27 October 2021 (Selection Day). The following changes to the index composition will become effective as of close of business on Friday, 29 October 2021 (Adjustment Day).

Adjustments:

Issuer Name Coupon Maturity Date
APPLE INC 1.375 24.05.2029
DEUTSCHE BAHN FIN GMBH 0.35 29.09.2031
PEPSICO INC 0.75 14.10.2033
BMW FINANCE NV 1.0 14.11.2024
HANNOVER RE 1.125 09.10.2039
ALLIANZ SE 2.121 08.07.2050
DAIMLER AG 1.625 22.08.2023
NORDEA BANK AB 0.875 26.06.2023
CREDIT AGRICOLE SA 0.375 21.10.2025
MEDTRONIC GLOBAL HLDINGS 0.0 15.10.2025
AUTOROUTES DU SUD DE LA 1.375 21.02.2031
CREDIT AGRICOLE SA 0.875 14.01.2032
BNP PARIBAS 1.125 10.10.2023
GOLDMAN SACHS GROUP 2.125 30.09.2024
ING GROEP NV 0.375 29.09.2028
CITIGROUP INC 1.5 26.10.2028
THERMO FISHER SC FNCE I 0.8 18.10.2030
THERMO FISHER SC FNCE I 1.125 18.10.2033
VOLKSWAGEN INTL FIN NV 4.125 16.11.2038
THERMO FISHER SC FNCE I 1.625 18.10.2041
AXA SA 1.375 07.10.2041
SAMPO OYJ 2.5 03.09.2052
BPCE SA 4.625 18.07.2023
HEIMSTADEN BOSTAD TRESRY 0.25 13.10.2024
GAS NATURAL FENOSA FI 1.375 19.01.2027
CREDIT AGRICOLE ASSRNCES 1.5 06.10.2031
MERCK KGAA 2.875 25.06.2079
EUTELSAT SA 2.0 02.10.2025
SMURFIT KAPPA ACQUISITIO 2.875 15.01.2026
NETFLIX INC 3.625 15.05.2027
NETFLIX INC 3.875 15.11.2029
NETFLIX INC 3.625 15.06.2030
GLAXOSMITHKLINE CAPITAL 3.375 20.12.2027
JT INTL FIN SERVICES BV 2.75 28.09.2033
BLEND FUNDING PLC 2.922 05.04.2054
AMERICAN HONDA FINANCE 1.5 19.10.2027
HSBC BANK PLC 5.375 22.08.2033
AMERICAN INTL GROUP 5.0 26.04.2023
BAT INTL FINANCE PLC 7.25 12.03.2024
BANCO SANTANDER SA 2.25 04.10.2032
SINGAPORE GOVERNMENT 1.875 01.10.2051
NEW ZEALAND GOVERNMENT 2.75 15.05.2051
NETHERLANDS GOVERNMENT 0.0 15.01.2029
JAPAN (2 YEAR ISSUE) 0.005 01.10.2023
JAPAN (5 YEAR ISSUE) 0.005 20.09.2026
JAPAN (10 YEAR ISSUE) 0.1 20.09.2031
JAPAN (20 YEAR ISSUE) 0.5 20.09.2041
JAPAN (30 YEAR ISSUE) 0.7 20.09.2051
REPUBLIC OF AUSTRIA 0.25 20.10.2036

Deletions:

Issuer Name Coupon Maturity Date
BUNDESOBLIGATION 0.0 07.10.2022
ALLIANZ SE 5.625 17.10.2042
VONOVIA SE 1.0 16.06.2033
ALLIANZ SE 2.6 31.12.2049
COMMERZBANK AG 4.0 23.03.2026
GIE GDF SUEZ ALLIANCE 5.75 24.06.2023
FRANCE (GOVT OF) 2.25 25.10.2022
BNP PARIBAS CARDIF SA 4.032 31.12.2049
CREDIT AGRICOLE ASSRNCES 4.75 27.09.2048
SOCIETE GENERALE 0.125 18.02.2028
IRISH TSY 2022 0.0 18.10.2022
JAPAN (2 YEAR ISSUE) 0.1 01.10.2022
OBRIGACOES DO TESOURO 2.2 17.10.2022
DERBY HEALTHCARE PLC 5.564 30.06.2041
WAL-MART STORES INC 5.25 28.09.2035
CENTRICA PLC 7.0 19.09.2033
JPMORGAN CHASE & CO 3.5 18.12.2026
ENI SPA 3.25 10.07.2023
KERRY GROUP FIN SERVI 2.375 10.09.2025
JPMORGAN CHASE & CO 1.5 26.10.2022
BUNGE FINANCE EUROPE BV 1.85 16.06.2023
DEUTSCHE BAHN FINANCE BV 0.875 11.07.2031
BARCLAYS PLC 2.375 06.10.2023
BLEND FUNDING PLC 3.459 21.09.2047
PHILIP MORRIS INTL INC 1.45 01.08.2039
THERMO FISHER SCIENTIFIC 1.5 01.10.2039
SANTAN CONSUMER FINANCE 0.375 17.01.2025
WELLS FARGO & COMPANY 0.625 14.08.2030
RECKITT BENCKISER TSY 1.75 19.05.2032
EQUINOR ASA 1.375 22.05.2032
MEDTRONIC GLOBAL HLDINGS 0.375 15.10.2028
VOLKSWAGEN LEASING GMBH 0.0 12.07.2023
CAIXABANK SA 1.25 18.06.2031
BANCO SANTANDER SA 0.5 24.03.2027
FERROVIE DELLO STATO 0.375 25.03.2028
DEUTSCHE BAHN FIN GMBH 0.625 15.04.2036
PROSUS NV 1.985 13.07.2033

For more details on the index composition and the adjustment rules applicable to an index, please refer to the respective index detail page on this website.