Ordinary Rebalance | Solactive Green and Social 3.5y IG SEK TR Index | Effective Date 1st October 2025
As part of the ordinary rebalancing of the index, the composition of the Solactive Green and Social 3.5y IG SEK TR Index (DE000SL0CMZ2) was reviewed on Tuesday, 23 September 2025 (Selection Date). The following changes to the index composition will become effective as of Wednesday, 1 October 2025 (Effective Date).
Addition(s)
| Issuer Name | Coupon | Maturity Date |
|---|---|---|
| BNP PARIBAS SA | 3.494 | 17 Sep 2033 |
| E.ON SE | 3.976 | 26 Jun 2040 |
| EAST JAPAN RAILWAY COMPANY | 3.727 | 2 Sep 2037 |
| SVENSKA CELLULOSA AKTIEBOLAGET SCA | 0.0 | 17 Sep 2030 |
| SWEDBANK AB | 0.0 | 11 Sep 2028 |
| SWEDBANK AB | 2.998 | 11 Sep 2030 |
| CREDIT AGRICOLE S.A. | 3.25 | 25 Aug 2032 |
| BAWAG P.S.K. BANK FUR ARBEIT UND WIRTSCHAFT UND OSTERREICHISCHE POSTSPARKAS | 3.375 | 2 Sep 2033 |
| SVENSKA HANDELSBANKEN AB | 3.25 | 19 Aug 2032 |
| BANQUE FEDERATIVE DU CREDIT MUTUEL SOCIETE ANONYME | 3.375 | 10 Jun 2032 |
| MITSUI FUDOSAN CO. LTD. | 2.572 | 21 Jan 2032 |
| A.P. MOLLER – MAERSK A/S | 3.5 | 17 Sep 2034 |
| HOKKAIDO ELECTRIC POWER COMPANYINCORPORATED | 4.587 | 4 Sep 2030 |
| EVN AG | 0.85 | 15 Oct 2035 |
| COLBUN S.A. | 5.375 | 11 Sep 2035 |
| SYDBANK A/S | 3.0 | 11 Dec 2029 |
| TEOLLISUUDEN VOIMA OYJ | 3.625 | 18 Mar 2033 |
| VOLKSWAGEN INTERNATIONAL FINANCE NV | 4.125 | 2 Sep 2035 |
| E.ON INTERNATIONAL FINANCE BV | 3.5 | 3 Sep 2035 |
| E.ON INTERNATIONAL FINANCE BV | 3.0 | 3 Sep 2031 |
| KBC GROUP NV | 3.625 | 26 Aug 2036 |
| ARKEMA S.A. | 3.5 | 9 Sep 2033 |
| FABEGE AB | 0.0 | 1 Mar 2029 |
| SCOTTISH HYDRO ELECTRIC TRANSMISSION PLC | 3.375 | 2 Nov 2033 |
| VOLKSBANK WIEN AG | 3.625 | 9 Sep 2031 |
| ENGIE SA. | 3.875 | 11 Sep 2037 |
| VGP N.V. | 1.5 | 8 Apr 2029 |
| VGP N.V. | 1.625 | 17 Jan 2027 |
| VGP N.V. | 2.25 | 17 Jan 2030 |
| VGP N.V. | 4.25 | 29 Jan 2031 |
| HEMSO FASTIGHETS AB | 0.0 | 17 May 2028 |
| BELFIUS BANK SA/NV | 3.25 | 9 Sep 2032 |
| CHINA CONSTRUCTION BANK CORP. (LONDON BRANCH) | 0.0 | 11 Sep 2028 |
| SOCIETE NATIONALE SNCF | 3.25 | 2 Sep 2032 |
| EDP SERVICIOS FINANCIEROS ESPANA S.A. | 3.125 | 3 Dec 2031 |
| HENAN WATER CONSERVANCY INVESTMENT GROUP CO. LTD. | 4.3 | 20 Aug 2028 |
| FIRST ABU DHABI BANK P.J.S.C. | 4.38 | 10 Sep 2030 |
| NORDEA BANK ABP | 3.5 | 17 Sep 2035 |
| HEIMSTADEN BOSTAD AB | 3.75 | 10 Mar 2031 |
| LG ENERGY SOLUTION LTD. | 5.875 | 2 Apr 2035 |
| RWE FINANCE US LLC | 5.125 | 18 Sep 2035 |
Deletion(s)
| Issuer Name | Coupon | Maturity Date |
|---|---|---|
| DEUTSCHE KREDITBANK AG | 0.01 | 23 Feb 2026 |
| DEUTSCHE BANK AG NEW YORK BRANCH | 1.686 | 19 Mar 2026 |
| LG ENERGY SOLUTION LTD. | 5.875 | 2 Apr 2035 |
| MITSUI FUDOSAN CO. LTD. | 2.572 | 21 Jan 2032 |
| SUZANO INTERNATIONAL FINANCE B.V. | 5.5 | 17 Jan 2027 |
| LEASEPLAN CORPORATION N.V. | 0.25 | 23 Feb 2026 |
| CITYCON TREASURY BV | 1.625 | 12 Mar 2028 |
| ORSTED A/S | 3.625 | 1 Mar 2026 |
| CITYCON TREASURY BV | 6.5 | 6 Mar 2029 |
| CITYCON TREASURY BV | 5.0 | 11 Mar 2030 |
| CITYCON TREASURY BV | 5.375 | 8 Jul 2031 |
For more details on the index composition and the rebalancing rules applicable to an index, please refer to the respective index detail page on this website.