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Sticky inflation boosts Eurozone yields; Euro and pound appreciate over Northern Ireland deal; Portfolio risk drops as US stocks end losing streak.
Our top 10 takeaways looking at the effects of the Russia-Ukraine crisis on developed vs. emerging equity markets in charts.
Qontigo and B3 announced that Qontigo has licensed two flagship European indices to be listed as futures contracts on the Brazilian exchange.
Qontigo announced the results of the annual review of the STOXX® Global ESG Leaders Index, which tracks the leading companies with respect to environmental, social and governance (ESG) criteria.
Qontigo has licensed the EURO STOXX 50® Index to KBSTAR ETF, the ETF division of KB Asset Management to serve as an underlying for an ETF listed on the Korea Exchange.
US Treasury yields plummet, despite rising share prices and stronger inflation; Eurozone yields lifted by new supply; Portfolio risk increases, as stocks and bonds ascend in tandem.
STOXX Global 1800 Index falls 1% in January as nations impose stricter lockdowns to combat the COVID-19 pandemic, and amid a trading frenzy around heavily-shorted US shares.
Results of the annual review of STOXX’s broadest benchmark tracking the highest ESG-scoring companies are out.
Results of the second regular quarterly review, effective June 22, 2020
There is no denying the psychological impact that the word “pandemic” can have on investors globally, especially when it is followed by headlines containing the words “global recession” and “global corporate debt crisis”.
A decade-long bull market defied the odds and grew stronger in 2019, as investors took on risk despite growing geopolitical headwinds.
Stocks rose for a ninth month this year in November amid hopes for a thaw in the trade war between the US and China, and optimism that the global economy may gather pace.
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