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Announcements

Termination of Solactive Administrated Indices / Effective Date: 24 March 2025

Solactive hereby announces to terminate the following indices effective 24 March 2025 (the “Effective Date”):

GPR 250 India CAD Index GTR

.GPR250CADIND

GPR000018870

GPR 250 India CAD Index PR

.GPR250CADINDP

GPR000P18870

GPR 250 India CHF Index GTR

.GPR250CHFIND

GPR000018869

GPR 250 India CHF Index PR

.GPR250CHFINDP

GPR000P18869

GPR 250 India EUR Index GTR

.G250INEG

DE000SL0LNY4

GPR 250 India EUR Index PR

.G250INEP

DE000SL0L1U6

GPR 250 India GBP Index GTR

.GPR250GBPIND

GPR000018872

GPR 250 India GBP Index PR

.GPR250GBPINDP

GPR000P18872

GPR 250 India JPY Index GTR

.GPR250JPYIND

GPR000018871

GPR 250 India JPY Index PR

.GPR250JPYINDP

GPR000P18871

GPR 250 India USD Index GTR

.GPR250USDIND

DE000SL0GAL8

GPR 250 India USD Index PR

.GPR250USDINDP

GPR000P18873

GPR 250 REIT India AUD Index GTR

.GPR250REITAUDIND

GPR000018880

GPR 250 REIT India AUD Index PR

.GPR250REITAUDINDP

GPR000P18880

GPR 250 REIT India EUR Index GTR

.GPR250REITEURIND

DE000SL0GAM6

GPR 250 REIT India EUR Index PR

.GPR250REITEURINDP

GPR000P18876

GPR 250 REIT India USD Index GTR

.GPR250REITUSDIND

DE000SL0GAN4

GPR 250 REIT India USD Index PR

.GPR250REITUSDINDP

GPR000P18878

GPR 250 REIT India ZAR Index GTR

.GPR250REITZARIND

GPR000018879

GPR 250 REIT India ZAR Index PR

.GPR250REITZARINDP

GPR000P18879

GPR 250 REIT China AUD Index GTR

.GPR250REITAUDCHN

GPR000008112

GPR 250 REIT China AUD Index PR

.GPR250REITAUDCHNP

GPR0000P8112

GPR 250 REIT China EUR Index GTR

.GPRREITCHNE

DE000SL0C374

GPR 250 REIT China EUR Index PR

.GPR250REITEURCHNP

GPR0000P4963

GPR 250 REIT China USD Index GTR

.GPRREITCHNU

DE000SL0C382

GPR 250 REIT China USD Index PR

.GPR250REITUSDCHNP

GPR0000P4965

GPR 250 REIT China ZAR Index GTR

.GPR250REITZARCHN

GPR000006725

GPR 250 REIT China ZAR Index PR

.GPR250REITZARCHNP

GPR0000P6725

NNIP Global NETTO EUR IND

.ING18882

GPR000018882

GPR 250 World NET Index (CHF) IND

.KMP18883

GPR000018883

BNP Paribas Adapted Daily EUR IND FCCQA

.SHBNP18863

GPR000018863

BNP Paribas Adapted Daily USD IND FCCQA

.SHBNP18865

GPR000018865

BNP Paribas Adapted Daily Net 15% EUR IND FCNQA

.SHBNP18867

GPR000018867

BNP Paribas Adapted Daily Net 15% USD IND FFCQS

.SHBNP18862

GPR000018862