Developed Markets (ex-US) ESG Best Practices Index

Index History

Sectors
as of 06-21-2019

Countries

Index Constituents
as of 06-21-2019

Ticker Company Name Country Sector Weight
2 HK CLP HOLDINGS LTD Hong Kong Utilities 0.24879999000000003
3 HK HONG KONG AND CHINA GAS CO LTD Hong Kong Utilities 0.2483
000660 KS SK HYNIX INC South Korea Information Technology 0.42310000000000003
11 HK HANG SENG BANK LTD Hong Kong Financials 0.30469999999999997
16 HK SUN HUNG KAI PROPERTIES LTD Hong Kong Real Estate 0.3418
006400 KS SAMSUNG SDI CO LTD South Korea Information Technology 0.2753
66 HK MTR CORP LTD Hong Kong Industrials 0.27299999999999996
028260 KS SAMSUNG C&T South Korea Industrials 0.2509
388 HK HONG KONG EXCHANGES AND CLEARING LTD Hong Kong Financials 0.42560000000000003
066570 KS LG ELECTRONICS INC South Korea Consumer Discretionary 0.26460001
688 HK CHINA OVERSEAS LAND & INVESTMENT LTD Hong Kong Real Estate 0.24950001
1216 TT UNI-PRESIDENT ENTERPRISES CORP Taiwan Consumer Staples 0.2805
1928 HK SANDS CHINA LTD Macau Consumer Discretionary 0.27430002
2002 TT CHINA STEEL CORP Taiwan Materials 0.2355
2308 TT DELTA ELECTRONICS INC Taiwan Information Technology 0.25339999999999996
2330 TT TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD Taiwan Information Technology 1.3844
2388 HK BOC HONG KONG HOLDINGS LTD Hong Kong Financials 0.2599
2801 JP KIKKOMAN CORP Japan Consumer Staples 0.2328
2881 TT FUBON FINANCIAL HOLDING CO LTD Taiwan Financials 0.2359
2882 TT CATHAY FINANCIAL HOLDING CO LTD Taiwan Financials 0.25240001
2891 TT CTBC FINANCIAL HOLDING CO LTD Taiwan Financials 0.2509
2912 TT PRESIDENT CHAIN STORE CORP Taiwan Consumer Staples 0.22269999999999998
3045 TT TAIWAN MOBILE CO LTD Taiwan Telecommunication Services 0.2379
4307 JP NOMURA RESEARCH INSTITUTE LTD Japan Information Technology 0.2586
4452 JP KAO CORP Japan Consumer Staples 0.4029
4502 JP TAKEDA PHARMACEUTICAL CO LTD Japan Health Care 0.5153
4503 JP ASTELLAS PHARMA INC Japan Health Care 0.38550003
4507 JT SHIONOGI & CO LTD Japan Health Care 0.32600001
4523 JP EISAI CO LTD Japan Health Care 0.35100002
4911 JP SHISEIDO CO LTD Japan Consumer Staples 0.36679999999999996
5108 JP BRIDGESTONE CORP Japan Consumer Discretionary 0.3745
5802 JP SUMITOMO ELECTRIC INDUSTRIES LTD Japan Consumer Discretionary 0.24589999999999998
6201 JP TOYOTA INDUSTRIES CORP Japan Consumer Discretionary 0.24380000000000002
6301 JP KOMATSU LTD Japan Industrials 0.33610002
6367 JP DAIKIN INDUSTRIES LTD Japan Industrials 0.41850000000000004
6501 JP HITACHI LTD Japan Information Technology 0.41159999999999997
6502 JP TOSHIBA CORP Japan Industrials 0.25110000000000005
6503 JP MITSUBISHI ELECTRIC CORP Japan Industrials 0.3644
6702 JP FUJITSU LTD Japan Information Technology 0.31949999
6752 JP PANASONIC CORP Japan Consumer Discretionary 0.3398
6758 JP SONY CORP Japan Consumer Discretionary 0.6294
6902 JP DENSO CORP Japan Consumer Discretionary 0.33649998
7011 JP MITSUBISHI HEAVY INDUSTRIES LTD Japan Industrials 0.26550002
7751 JP CANON INC Japan Information Technology 0.45580000000000004
8002 JT MARUBENI CORP Japan Industrials 0.24060001999999997
8035 JP TOKYO ELECTRON LTD Japan Information Technology 0.3434
8113 JP UNICHARM CORP Japan Consumer Staples 0.26339998
8267 JP AEON CO LTD Japan Consumer Staples 0.28040002
8630 JP SOMPO HOLDINGS INC Japan Financials 0.2483
AAL LN ANGLO AMERICAN PLC Britain Materials 0.3669
ABBN VX ABB LTD Switzerland Industrials 0.49380003
ABF LN ASSOCIATED BRITISH FOODS PLC Britain Consumer Staples 0.25080002
ABX CN BARRICK GOLD CORP Canada Materials 0.3912
AC FP ACCOR SA France Consumer Discretionary 0.2805
AD NA KONINKLIJKE AHOLD NV Netherlands Consumer Staples 0.3595
ADP FP AEROPORTS DE PARIS SA France Industrials 0.20850000000000002
ADS GR ADIDAS AG Germany Consumer Discretionary 0.5967
AIR FP AIRBUS France Industrials 0.73989998
AI FP AIR LIQUIDE SA France Materials 0.603
AKZA NA AKZO NOBEL NV Netherlands Materials 0.3154
ALV GR ALLIANZ SE Germany Financials 0.7508999700000001
AMS SM AMADEUS IT HOLDING SA Spain Information Technology 0.4274
ANZ AU AUSTRALIA AND NEW ZEALAND BANKING GROUP LTD Australia Financials 0.47809999999999997
ASML NA ASML HOLDING NV Netherlands Information Technology 0.75379997
ASSAB SS ASSA ABLOY AB Sweden Industrials 0.36679999999999996
ATCOA SS ATLAS COPCO AB Sweden Industrials 0.3269
ATL IM ATLANTIA SPA Italy Industrials 0.25870001
AV/ LN AVIVA PLC Britain Financials 0.31150002000000004
CS FP AXA SA France Financials 0.5061
AZN LN ASTRAZENECA PLC Britain Health Care 0.8109999999999999
BA/ LN BAE SYSTEMS PLC Britain Industrials 0.3166
BARC LN BARCLAYS PLC Britain Financials 0.35080002
BAS GR BASF SE Germany Materials 0.6298
BATS LN BRITISH AMERICAN TOBACCO PLC Britain Consumer Staples 0.5992
BAYN GR BAYER AG Germany Health Care 0.52090003
BBVA SM BANCO BILBAO VIZCAYA ARGENTARIA S.A. Spain Financials 0.3916
BCE CN BCE INC Canada Telecommunication Services 0.47219999999999995
BHP AU BHP GROUP LTD Australia Materials 0.7532
BMO CN BANK OF MONTREAL Canada Financials 0.4402
BMW GR BAYERISCHE MOTOREN WERKE AG Germany Consumer Discretionary 0.3694
BNP FP BNP PARIBAS SA France Financials 0.4895
BNS CN BANK OF NOVA SCOTIA Canada Financials 0.5448
EN FP BOUYGUES SA France Industrials 0.241
BP/ LN BP PLC Britain Energy 0.988
BT/A LN BT GROUP PLC Britain Telecommunication Services 0.34029998
BXB AU BRAMBLES LTD Australia Industrials 0.26800002
ACA FP CREDIT AGRICOLE SA France Financials 0.262
CAP FP CAP GEMINI SA France Information Technology 0.3536
CARLB DC CARLSBERG A/S Denmark Consumer Staples 0.27
CA FP CARREFOUR SA France Consumer Staples 0.26930002000000003
CBA AU COMMONWEALTH BANK OF AUSTRALIA Australia Financials 0.7123
CCE US COCA COLA EUROPEAN PARTNERS Britain Consumer Staples 0.28040002
CCH LN COCA COLA HBC AG Switzerland Consumer Staples 0.271
CHR DC CHR HANSEN HOLDING A/S Denmark Materials 0.27680001
KN FP NATIXIS SA France Financials 0.17520000000000002
CNHI IM CNH INDUSTRIAL NV Britain Industrials 0.29429997999999996
CNP FP CNP ASSURANCES SA France Financials 0.21559999999999999
CNQ CN CANADIAN NATURAL RESOURCES LTD Canada Energy 0.42789997999999996
CNR CN CANADIAN NATIONAL RAILWAY CO Canada Industrials 0.6786999800000001
CON GR CONTINENTAL AG Germany Consumer Discretionary 0.34110001
CP CN CANADIAN PACIFIC RAILWAY LTD Canada Industrials 0.42900000000000005
CPG LN COMPASS GROUP PLC Britain Consumer Discretionary 0.46490000000000004
UCG IM UNICREDIT SPA Italy Financials 0.3186
CRH ID CRH PLC Ireland Materials 0.3685
CSGN VX CREDIT SUISSE GROUP AG Switzerland Financials 0.3493
CSL AU CSL LTD Australia Health Care 0.6031
DAI GR DAIMLER AG Germany Consumer Discretionary 0.52460004
BN FP DANONE SA France Consumer Staples 0.5166
DSY FP DASSAULT SYSTEMES SA France Information Technology 0.34290000000000004
DBK GR DEUTSCHE BANK AG Germany Financials 0.2583
DBS SP DBS GROUP HOLDINGS LTD Singapore Financials 0.38
DGE LN DIAGEO PLC Britain Consumer Staples 0.7033
DNB NO DNB ASA Norway Financials 0.2644
DPW GR DEUTSCHE POST AG Germany Industrials 0.4021
DSM NA KONINKLIJKE DSM NV Netherlands Materials 0.3432
DTE GR DEUTSCHE TELEKOM AG Germany Telecommunication Services 0.5932000500000001
ELE SM ENDESA Spain Utilities 0.1786
ENEL IM ENEL SPA Italy Utilities 0.46629999999999994
ENGI FP ENGIE France Utilities 0.2912
EQNR NO EQUINOR Norway Energy 0.34150002
ERICB SS ERICSSON Sweden Information Technology 0.4164
EBS AV ERSTE GROUP BANK AG Austria Financials 0.2473
EI FP ESSILORLUXOTTICA France Consumer Discretionary 0.46180002
SW FP SODEXO SA France Consumer Discretionary 0.24070002
EXPN LN EXPERIAN PLC Ireland Industrials 0.3544
FCA IM FIAT CHRYSLER AUTOMOBILES NV Italy Consumer Discretionary 0.29910001999999997
FER SM FERROVIAL SA Spain Industrials 0.25110000000000005
FERG LN FERGUSON PLC Britain Industrials 0.3137
FORTUM FH FORTUM OYJ Finland Utilities 0.1931
G IM ASSICURAZIONI GENERALI SPA Italy Financials 0.3448
GEBN VX GEBERIT AG Switzerland Industrials 0.34079999
GIVN VX GIVAUDAN SA Switzerland Materials 0.34199999999999997
GLEN LN GLENCORE XSTRATA PLC Switzerland Materials 0.4601
GSK LN GLAXOSMITHKLINE PLC Britain Health Care 0.7414
HEIA NA HEINEKEN NV Netherlands Consumer Staples 0.32769998
HEN GR HENKEL AG & CO KGAA Germany Consumer Staples 0.2192
HNR1 GR HANNOVER RUECK SE Germany Financials 0.2316
HSBA LN HSBC HOLDINGS PLC Britain Financials 1.1097
IAG AU INSURANCE AUSTRALIA GROUP LIMITED Australia Financials 0.2633
IBE SM IBERDROLA SA Spain Utilities 0.48650000000000004
IAG LN INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA Britain Industrials 0.2177
IFX GR INFINEON TECHNOLOGIES AG Germany Information Technology 0.3491
IMB LN IMPERIAL BRANDS PLC Britain Consumer Staples 0.30790002
IMO CN IMPERIAL OIL LTD Canada Energy 0.27759999999999996
INF LN INFORMA PLC Britain Telecommunication Services 0.27579998
INGA NA ING GROEP NV Netherlands Financials 0.4376
IPN FP IPSEN SA France Health Care 0.28229998
ISP IM INTESA SANPAOLO SPA Italy Financials 0.38679999
ITX SM INDITEX S.A. Spain Consumer Discretionary 0.43329997000000003
KBC BB KBC GROUPE SA Belgium Financials 0.26940000000000003
KNEBV FH KONE CORP Finland Industrials 0.33440000000000003
KPN NA KONINKLIJKE KPN NV Netherlands Telecommunication Services 0.26969998
L CN LOBLAW COMPANIES LTD Canada Consumer Staples 0.2359
LR FP LEGRAND SA France Industrials 0.35609999
LGEN LN LEGAL & GENERAL GROUP PLC Britain Financials 0.3205
LLOY LN LLOYDS BANKING GROUP PLC Britain Financials 0.48050000000000004
LSE LN LONDON STOCK EXCHANGE GROUP PLC Britain Financials 0.3146
MC FP LVMH MOET HENNESSY LOUIS VUITTON SA France Consumer Discretionary 1.0463
MAN GR MAN SE Germany Industrials 0.16920000999999998
MFC CN MANULIFE FINANCIAL CORP Canada Financials 0.39030001
ML FP COMPAGNIE GENERALE DES ETABLISSEMENTS MICHELIN SCA France Consumer Discretionary 0.40109999999999996
MNDI LN MONDI PLC Britain Materials 0.2464
MQG AU MACQUARIE GROUP LTD Australia Financials 0.3301
MRK GR MERCK KGAA Germany Health Care 0.3371
MT NA ARCELORMITTAL SA Netherlands Materials 0.25370000000000004
MTX GR MTU AERO ENGINES AG Germany Industrials 0.2874
MUV2 GR MUENCHENER RUECKVERSICHERUNGS GESELLSCHAFT AG IN MUENCHEN Germany Financials 0.3896
NAB AU NATIONAL AUSTRALIA BANK LTD Australia Financials 0.45840000000000003
NCM AU NEWCREST MINING LTD Australia Materials 0.29510001
NESN VX NESTLE SA Switzerland Consumer Staples 1.8499
NESTE FH NESTE OIL CORP Finland Energy 0.317
NG/ LN NATIONAL GRID PLC Britain Utilities 0.3467
NN NA NN GROUP NV Netherlands Financials 0.23979999999999999
NOKIA FH NOKIA OYJ Finland Information Technology 0.4271
NOVN VX NOVARTIS AG Switzerland Health Care 1.4133000999999998
NTGY SM NATURGY ENERGY GROUP SA Spain Utilities 0.18630000000000002
NXPI US NXP SEMICONDUCTORS NV Netherlands Information Technology 0.41190000000000004
NZYMB DC NOVOZYMES A/S Denmark Materials 0.23479999999999998
OCBC SP OVERSEA-CHINESE BANKING CORPORATION LTD Singapore Financials 0.37099998
OMV AV OMV AG Austria Energy 0.30500002
OR FP L'OREAL SA France Consumer Staples 0.5891000000000001
UG FP PEUGEOT SA France Consumer Discretionary 0.3127
PHIA NA KONINKLIJKE PHILIPS NV Netherlands Health Care 0.509
KER FP KERING SA France Consumer Discretionary 0.55440003
PRU LN PRUDENTIAL PLC Britain Financials 0.4999
PUB FP PUBLICIS GROUPE SA France Telecommunication Services 0.281
PWF CN POWER FINANCIAL CORP Canada Financials 0.21389999999999998
QBE AU QBE INSURANCE GROUP LTD Australia Financials 0.25459998
RB/ LN RECKITT BENCKISER GROUP PLC Britain Consumer Staples 0.48469999999999996
RBS LN ROYAL BANK OF SCOTLAND GROUP PLC Britain Financials 0.2522
RCI/B CN ROGERS COMMUNICATIONS INC Canada Telecommunication Services 0.31220000000000003
RDSA NA ROYAL DUTCH SHELL PLC Netherlands Energy 1.0261
REE SM RED ELECTRICA CORPORACION SA Spain Utilities 0.19220001
REL LN RELX Britain Industrials 0.55919997
RNO FP RENAULT SA France Consumer Discretionary 0.2837
RIO AU RIO TINTO LTD Australia Materials 0.3552
ROG VX ROCHE HOLDING AG Switzerland Health Care 1.2607
RR/ LN ROLLS-ROYCE HOLDINGS PLC Britain Industrials 0.3333
SAF FP SAFRAN SA France Industrials 0.527
SAN SM BANCO SANTANDER SA Spain Financials 0.5875
SAND SS SANDVIK AB Sweden Industrials 0.33629998
SAP GR SAP SE Germany Information Technology 1.0917
SAN FP SANOFI SA France Health Care 0.7682
SU FP SCHNEIDER ELECTRIC SA France Industrials 0.5347000000000001
SCMN VX SWISSCOM AG Switzerland Telecommunication Services 0.2939
SEBA SS SKANDINAVISKA ENSKILDA BANKEN AB Sweden Financials 0.25330002
DG FP VINCI SA France Industrials 0.5892999999999999
SGO FP COMPAGNIE DE SAINT GOBAIN SA France Industrials 0.3532
SGSN VX SGS SA Switzerland Industrials 0.2839
SIE GR SIEMENS AG Germany Industrials 0.89300005
SLF CN SUN LIFE FINANCIAL INC Canada Financials 0.3296
SN/ LN SMITH & NEPHEW PLC Britain Health Care 0.38839998
GLE FP SOCIETE GENERALE France Financials 0.32880000000000004
SOLB BB SOLVAY SA Belgium Materials 0.21810000000000002
SOON VX SONOVA HOLDING AG Switzerland Health Care 0.3539
SREN SW SWISS RE AG Switzerland Financials 0.36829999
SRG IM SNAM SPA Italy Utilities 0.3397
SSE LN SSE PLC Britain Utilities 0.2076
STAN LN STANDARD CHARTERED PLC Britain Financials 0.3461
ST SP SINGAPORE TELECOMMUNICATIONS LTD Singapore Telecommunication Services 0.34090000000000004
STM IM STMICROELECTRONICS NV Switzerland Information Technology 0.37580002
SU CN SUNCOR ENERGY INC Canada Energy 0.5245
SWEDA SS SWEDBANK AB Sweden Financials 0.25479998
SY1 GR SYMRISE AG Germany Materials 0.246
T CN TELUS CORP Canada Telecommunication Services 0.3529
TD CN TORONTO-DOMINION BANK Canada Financials 0.7744
TECK/B CN TECK RESOURCES LTD Canada Materials 0.28080002
TEF SM TELEFONICA SA Spain Telecommunication Services 0.4601
TIT IM TELECOM ITALIA SPA Italy Telecommunication Services 0.24060001999999997
FP FP TOTAL SA France Energy 0.93290005
TRN IM TERNA RETE ELETTRICA NAZIONALE SPA Italy Utilities 0.1983
TSCO LN TESCO PLC Britain Consumer Staples 0.35469999999999996
UBSG VX UBS GROUP AG Switzerland Financials 0.44460000000000005
UCB BB UCB SA Belgium Health Care 0.3183
ULVR LN UNILEVER PLC Britain Consumer Staples 0.6005
UMI BB UMICORE SA Belgium Materials 0.23310000000000003
UPM FH UPM-KYMMENE CORP Finland Materials 0.27499999999999997
VIE FP VEOLIA ENVIRONNEMENT VE SA France Utilities 0.2052
VIV FP VIVENDI SA France Telecommunication Services 0.40020000000000006
VOD LN VODAFONE GROUP PLC Britain Telecommunication Services 0.4712
VOLVB SS VOLVO AB Sweden Industrials 0.348
VWS DC VESTAS WIND SYSTEMS A/S Denmark Industrials 0.36320002
WBC AU WESTPAC BANKING CORP Australia Financials 0.5577000000000001
WES AU WESFARMERS LTD Australia Consumer Discretionary 0.39230003
WKL NA WOLTERS KLUWER NV Netherlands Industrials 0.3346
WPL AU WOODSIDE PETROLEUM LTD Australia Energy 0.41079999999999994
WPP LN WPP PLC Britain Telecommunication Services 0.2974
WTB LN WHITBREAD PLC Britain Consumer Discretionary 0.26180000000000003
ZURN VX ZURICH INSURANCE GROUP AG Switzerland Financials 0.48869999999999997