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Ordinary Adjustment | Solactive Green ESG Bond EUR USD IG TR Index | 31st December 2021

As part of the ordinary adjustment of the index, the composition of the Solactive Green ESG Bond EUR USD IG TR Index (DE000SLA7P25) was reviewed on Thursday, 23 December 2021 (Selection Day). The following changes to the index composition will become effective as of close of business on Friday, 31 December 2021 (Rebalance Day).

Adjustments:

Issuer Name Coupon Maturity Date
ROYAL SCHIPHOL GROUP NV 1.5 05 Nov 2030
NATL GRID ELECT TRANS 0.19 20 Jan 2025
CPPIB CAPITAL INC 0.25 06 Apr 2027
EUROFIMA 0.01 23 Jun 2028
TALANX AG 1.75 01 Dec 2042
KBC GROUP NV 0.25 01 Mar 2027
SOCIETE GENERALE SFH 0.01 02 Dec 2026
ABN AMRO BANK N.V. 0.5 23 Sep 2029
HOST HOTELS & RESORTS LP 2.9 15 Dec 2031
HEALTHPEAK PROPERTIES 2.125 01 Dec 2028
LANDSBANKINN HF 0.75 25 May 2026
ONTARIO TEACHERS’ FINANC 0.95 24 Nov 2051
ILE DE FRANCE MOBILITES 0.4 28 May 2031
ILE DE FRANCE MOBILITES 0.95 28 May 2041
SOCIETE DU GRAND PARIS 1 26 Nov 2051
SOCIETE DU GRAND PARIS 0.3 25 Nov 2031
BAYERISCHE LANDESBANK 1.375 22 Nov 2032
ARION BANKI HF 0.375 14 Jul 2025
HONG KONG 1.75 24 Nov 2031
HONG KONG 0 24 Nov 2026
HONG KONG 1 24 Nov 2041
TENNET HOLDING BV 0.875 16 Jun 2035
AUCKLAND COUNCIL 0.25 17 Nov 2031
SWEDBANK AB 1.538 16 Nov 2026
DZ BANK AG 0.4 17 Nov 2028
STEDIN HOLDING NV 0 16 Nov 2026
BANK HAPOALIM 3.255 21 Jan 2032

Deletions:

Issuer Name Coupon Maturity Date
BPCE SA 1.125 14 Dec 2022
NEDER WATERSCHAPSBANK 3.125 05 Dec 2022
CANARY WHARF GROUP 1.75 07 Apr 2026
ACEF HOLDING SCA 0.75 14 Jun 2028

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.