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DividendenAdel Schweiz Index

| Since 2020-01-03 | Röhl Capital GmbH

At a glance
ISIN DE000A26RVX2
Initial Index Value 100.00
Last Value 120.06
Index Allocator Röhl Capital GmbH
Index Administrator LIXX
Index Allocator Description

Röhl Capital GmbH

The manager employs a proprietary quantitative rule based and systematic algorithm in order to determine the allocations.

 

Index description

Universe of Index Components
Stocks of exchange listed companies with headquarters in Switzerland and admission to trading at a Swiss stock exchange.
Index Components and their selection
On 30 September (close-of-business) of each year (each a "Selection Day") the following determinations are made:
Stocks of companies that have their headquarters and their primary stock exchange listing in Switzerland, and whose average daily trading volume over 1 month, 3 months and 12 months was at least CHF 1.5 million are selected. Such stocks form the "Selection Pool".
Stocks out of the Selection Pool, that meet the conditions a) to d) below are selected. Such stocks form the "Filtered Selection Pool":
- Continuity: The dividend per share (adjusted for capital measures and any special distributions) has not decreased on a year-over-year basis for at least three (3) consecutive calendar years;
- Payout: The pay-out ratio smoothed over three years (accumulated dividends of the last three (3) calendar years1 divided by the accumulated net profits of the three (3) preceding calendar years) is between 25% and 75%;
- Yield: Both the average dividend yield of the last five (5) years calculated backwards from the relevant Selection Day (cumulative dividends divided by the daily arithmetic average value of the stock market prices) and the dividend yield as of the relevant Selection Day (current year’s distribution divided by the closing price as of the relevant Selection Day) amount to more than 1% per annum; and
- Growth: The compound annual growth rate (CAGR) over ten (10) years1 is positive with at least three (3) dividend increases on a year-over-year basis during this period.
A "DividendenAdel Score" is calculated in relation to all stocks included in the Filtered Selection Pool.
Stocks with a DividendenAdel Score greater than twenty-one (21) are considered "Primary DividendenAdel". This classification implies that, in addition to the conditions a) to d) in list item 2 above, the relevant stock must have had (i) no dividend reduction during the past ten (10) years and (ii) a dividend increase in the past year.
Stocks from the Filtered Selection Pool are selected for inclusion in the Index as follows:
- If there are ten (10) to twenty (20) Primary DividendenAdel, all Primary DividendenAdel are selected for inclusion in the Index.
- If there are less than ten (10) Primary DividendenAdel, the 10 stocks with the highest DividendenAdel Score are selected for inclusion in the Index.
- If there are more than twenty (20) Primary DividendenAdel, the twenty (20) Primary DividendenAdel with the highest DividendenAdel Score are selected for inclusion in the Index.

Performance & Risk

Performance
Selected Date:
Performance Figures
Return p.a. 3.07%
1-Day-Return 0.99%
MTD Return -1.93%
YTD Return 2.65%
Volatility p.a. 0.0243
Risk Figures
Max. Drawdown 30.99%
Information Ratio 0.26

Composition

High Level Composition Data
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Detailed Composition Data

Performance

Detail Performance Data
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(Re) Allocations

Corporate Actions

DATE TYPE INSTRUMENT ISIN/IDENTIFIER WEIGHT % AMOUNT CURRENCY
2024-04-23 DIVIDEND BKW AG CH0130293662 0.0008 0.0007 CHF
2024-04-19 DIVIDEND Chocoladefabriken Lindt & Spruengli AG CH0010570767 0.0005 0.0000 CHF
2024-04-19 DIVIDEND Nestle SA CH0038863350 0.0011 0.0014 CHF
2024-04-18 DIVIDEND Geberit AG CH0030170408 0.0010 0.0002 CHF
2024-04-12 DIVIDEND Emmi AG CH0012829898 0.0006 0.0001 CHF
2024-04-05 DIVIDEND PSP Swiss Property AG CH0018294154 0.0012 0.0013 CHF
2024-03-27 DIVIDEND DKSH Holding AG CH0126673539 0.0013 0.0025 CHF
2024-03-27 DIVIDEND Sika AG CH0418792922 0.0005 0.0002 CHF
2024-03-22 DIVIDEND Abb Ltd CH0012221716 0.0009 0.0027 CHF
2024-03-13 DIVIDEND Roche Holding AG CH0012032048 0.0013 0.0007 CHF
2024-03-06 DIVIDEND Novartis AG CH0012005267 0.0013 0.0018 CHF

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