| Effective As Of | Changes | Indices Concerned | |||||||
| May 2025 | |||||||||
| 05/09/2025 |
CA IMMOBILIEN ANLAGEN AG AT0000641352 Gross-Dividend Markdown: 1 EUR |
|
|||||||
| 05/08/2025 |
MAGYAR TELEKOM HU0000073507 Gross-Dividend Markdown: 100.11 HUF |
|
|||||||
| 05/08/2025 |
MAGYAR TELEKOM HU0000073507 Net-Dividend Markdown: 100.11 HUF |
|
|||||||
| 05/08/2025 |
SCHOELLER-BLECKMANN OILFIELD EQUIPMENT AG AT0000946652 Gross-Dividend Markdown: 1.75 EUR |
|
|||||||
| 05/08/2025 |
SCHOELLER-BLECKMANN OILFIELD EQUIPMENT AG AT0000946652 Net-Dividend Markdown: 1.26875 EUR |
|
|||||||
| 05/07/2025 |
MAYR-MELNHOF KARTON AG AT0000938204 Gross-Dividend Markdown: 1.8 EUR |
|
|||||||
| 05/07/2025 |
MAYR-MELNHOF KARTON AG AT0000938204 Net-Dividend Markdown: 1.305 EUR |
|
|||||||
| 05/06/2025 |
PORR AG AT0000609607 Net-Dividend Markdown: 0.6525 EUR |
|
|||||||
| 05/06/2025 |
BANK PEKAO PLPEKAO00016 Gross-Dividend Markdown: 18.36 PLN |
|
|||||||
| 05/06/2025 |
BANK PEKAO PLPEKAO00016 Net-Dividend Markdown: 14.8716 PLN |
|
|||||||
| 05/06/2025 |
VERBUND AG KAT. A AT0000746409 Gross-Dividend Markdown: 2.8 EUR |
|
|||||||
| 05/06/2025 |
VERBUND AG KAT. A AT0000746409 Net-Dividend Markdown: 2.03 EUR |
|
|||||||
| 05/06/2025 |
PORR AG AT0000609607 Gross-Dividend Markdown: 0.9 EUR |
|
|||||||
| 05/05/2025 |
KOMERCNI BANKA CZ0008019106 Net-Dividend Markdown: 77.605 CZK |
|
|||||||
| 05/05/2025 |
KOMERCNI BANKA CZ0008019106 Gross-Dividend Markdown: 91.3 CZK |
|
|||||||
| April 2025 | |||||||||
| 04/29/2025 |
MONETA MONEY BANK CZ0008040318 Gross-Dividend Markdown: 10 CZK |
|
|||||||
| 04/29/2025 |
MONETA MONEY BANK CZ0008040318 Net-Dividend Markdown: 8.5 CZK |
|
|||||||
| 04/28/2025 |
Exclusion: CLEEN ENERGY AG AT0000A38M45 |
|
|||||||
| 04/25/2025 |
SEMPERIT AG HOLDING AT0000785555 Gross-Dividend Markdown: 0.5 EUR |
|
|||||||
| 04/25/2025 |
SEMPERIT AG HOLDING AT0000785555 Net-Dividend Markdown: 0.3625 EUR |
|
|||||||
| 04/24/2025 |
NOSTRUM OIL & GAS GB00BQVVS097 New number of shares: 165,244,983 |
|
|||||||
| 04/22/2025 |
STELLANTIS NL00150001Q9 New RF: 1.09 Gross-Dividend Markdown: 0.68 EUR |
|
|||||||
| 04/22/2025 |
LPP PLLPP0000011 Gross-Dividend Markdown: 330 PLN |
|
|||||||
| 04/22/2025 |
LPP PLLPP0000011 Net-Dividend Markdown: 267.3 PLN |
|
|||||||
| 04/17/2025 |
AMAG AUSTRIA METALL AG AT00000AMAG3 Gross-Dividend Markdown: 1.2 EUR |
|
|||||||
| 04/17/2025 |
AMAG AUSTRIA METALL AG AT00000AMAG3 Net-Dividend Markdown: 0.87 EUR |
|
|||||||
| 04/16/2025 |
OESTERREICHISCHE POST AG AT0000APOST4 Net-Dividend Markdown: 1.32675 EUR |
|
|||||||
| 04/16/2025 |
OESTERREICHISCHE POST AG AT0000APOST4 Gross-Dividend Markdown: 1.83 EUR |
|
|||||||
| 04/08/2025 |
BAWAG GROUP AG AT0000BAWAG2 Gross-Dividend Markdown: 5.5 EUR |
|
|||||||
| 04/08/2025 |
BAWAG GROUP AG AT0000BAWAG2 Net-Dividend Markdown: 5.5 EUR |
|
|||||||
| 04/07/2025 |
PALFINGER AG AT0000758305 Gross-Dividend Markdown: 0.9 EUR |
|
|||||||
| 04/07/2025 |
PALFINGER AG AT0000758305 Net-Dividend Markdown: 0.6525 EUR |
|
|||||||
| March 2025 | |||||||||
| 03/31/2025 |
ANDRITZ AG AT0000730007 Net-Dividend Markdown: 1.885 EUR |
|
|||||||
| 03/31/2025 |
ANDRITZ AG AT0000730007 Gross-Dividend Markdown: 2.6 EUR |
|
|||||||
| 03/31/2025 |
RAIFFEISEN BANK INTERNAT. AG AT0000606306 Net-Dividend Markdown: 0.7975 EUR |
|
|||||||
| 03/31/2025 |
RAIFFEISEN BANK INTERNAT. AG AT0000606306 Gross-Dividend Markdown: 1.1 EUR |
|
|||||||
| 03/31/2025 |
Inclusion: BABCOCK INTERNATIONAL GROUP GB0009697037 Number of shares: 32,338,812 FFF: 1.00 RF: 1 BMW PREF DE0005190037 New number of shares: 1,669,490 FINCANTIERI IT0001415246 New number of shares: 4,223,526 IBRD 9728 XS0082720698 New number of shares: 1,875,344 IBRD DEC25 EUR XS0086657532 New number of shares: 34,813,153 LEONARDO IT0003856405 New number of shares: 807,985 MARRIOTT US5719032022 New number of shares: 450,968 New RF: 1.00 Inclusion: QINETIQ GROUP GB00B0WMWD03 Number of shares: 38,496,641 FFF: 1.00 RF: 1 STELLANTIS NL00150001Q9 New number of shares: 6,080,807 |
|
|||||||
| 03/24/2025 |
BANCA TRANSILVANIA ROTLVAACNOR1 New RF: 0.46 OMV PETROM ROSNPPACNOR9 New RF: 0.88 ONE UNITED PROPERTIES ROJ8YZPDHWW8 New FFF: 0.40 Exclusion: TTS ROYCRRK66RD8 |
|
|||||||
| 03/24/2025 |
ORLEN PLPKN0000018 New RF: 0.80 PKO BP PLPKO0000016 New RF: 0.73 |
|
|||||||
| 03/24/2025 |
CEZ CZ0005112300 New RF: 0.68 Exclusion: PKP CARGO PLPKPCR00011 Exclusion: SHELLY GROUP BG1100003166 Inclusion: TRANSELECTRICA ROTSELACNOR9 Number of shares: 73,303,142 FFF: 0.40 RF: 1 |
|
|||||||
| 03/24/2025 |
ALIOR PLALIOR00045 New RF: 0.81 BANK HANDLOWY PLBH00000012 New RF: 0.81 BANK MILLENNIUM PLBIG0000016 New RF: 0.81 BANK PEKAO PLPEKAO00016 New RF: 0.81 ERSTE GROUP BANK AG AT0000652011 New RF: 0.87 ING BANK SLASKI PLBSK0000017 New RF: 0.81 MBANK PLBRE0000012 New RF: 0.81 PKO BP PLPKO0000016 New RF: 0.81 SANTANDER BANK POLSKA PLBZ00000044 New RF: 0.81 |
|
|||||||
| 03/24/2025 |
Inclusion: ANTIBIOTICE ROATBIACNOR9 Number of shares: 671,338,040 FFF: 0.50 RF: 1 Inclusion: CELON PHARMA PLCLNPH00015 Number of shares: 38,856,500 FFF: 0.50 RF: 1 KRKA SI0031102120 New RF: 0.22 NEUCA PLTRFRM00018 New number of shares: 4,542,304 RICHTER GEDEON HU0000123096 New RF: 0.22 Inclusion: SCOPE FLUIDICS PLSCPFL00018 Number of shares: 2,725,930 FFF: 0.80 RF: 1 Inclusion: SYNTHAVERSE PLBMDLB00018 Number of shares: 52,357,321 FFF: 0.70 RF: 1 Inclusion: VOXEL PLVOXEL00014 Number of shares: 7,502,500 FFF: 0.70 RF: 1 |
|
|||||||
| 03/24/2025 |
MOL HU0000153937 New RF: 0.60 OMV PETROM ROSNPPACNOR9 New RF: 0.74 ORLEN PLPKN0000018 New RF: 0.19 ROMGAZ ROSNGNACNOR3 New RF: 0.74 TRANSGAZ ROTGNTACNOR8 New RF: 0.74 |
|
|||||||
| 03/24/2025 |
HRVATSKI TELEKOM HRHT00RA0005 New RF: 0.67 MAGYAR TELEKOM HU0000073507 New RF: 0.57 ORANGE POLSKA PLTLKPL00017 New RF: 0.67 |
|
|||||||
| 03/24/2025 |
AIR ASTANA GDR US0090632078 New number of shares: 354,193,238 HALYK BANK GDR US46627J3023 New number of shares: 10,885,188,172 New RF: 0.10 |
|
|||||||
| 03/24/2025 |
ASTARTA HOLDING NL0000686509 New RF: 0.24 INDUSTRIAL MILK COMPANY LU0607203980 New RF: 0.41 Exclusion: KSG AGRO LU0611262873 Inclusion: MILKILAND NL0009508712 Number of shares: 31,250,000 FFF: 0.30 RF: 1 |
|
|||||||
| 03/24/2025 |
Inclusion: ARCHICOM PLARHCM00016 Number of shares: 46,181,109 FFF: 0.30 RF: 1 CA IMMOBILIEN ANLAGEN AG AT0000641352 New RF: 0.84 DEVELIA PLLCCRP00017 New number of shares: 457,727,787 Exclusion: ECHO INVESTMENT PLECHPS00019 Exclusion: MURAPOL PLMURPL00190 ONE UNITED PROPERTIES ROJ8YZPDHWW8 New FFF: 0.40 |
|
|||||||
| 03/24/2025 |
ANDRITZ AG AT0000730007 New Fundamental factor: 0.7956 AT&S AUSTRIA TECH.&SYSTEMTECH. AT0000969985 New Fundamental factor: 4.7516 BAWAG GROUP AG AT0000BAWAG2 New Fundamental factor: 0.3899 CA IMMOBILIEN ANLAGEN AG AT0000641352 New Fundamental factor: 1.9840 CPI EUROPE AG AT0000A21KS2 New Fundamental factor: 4.7064 DO & CO AKTIENGESELLSCHAFT AT0000818802 New Fundamental factor: 1.2354 ERSTE GROUP BANK AG AT0000652011 New Fundamental factor: 0.1263 EVN AG AT0000741053 New Fundamental factor: 2.9963 LENZING AG AT0000644505 New Fundamental factor: 2.8757 MAYR-MELNHOF KARTON AG AT0000938204 New Fundamental factor: 3.4590 OESTERREICHISCHE POST AG AT0000APOST4 New Fundamental factor: 2.2095 OMV AG AT0000743059 New Fundamental factor: 0.7500 RAIFFEISEN BANK INTERNAT. AG AT0000606306 New Fundamental factor: 1.4559 SCHOELLER-BLECKMANN OILFIELD EQUIPMENT AG AT0000946652 New Fundamental factor: 11.7335 TELEKOM AUSTRIA AG AT0000720008 New Fundamental factor: 4.0906 UNIQA INSURANCE GROUP AG AT0000821103 New Fundamental factor: 2.8677 VERBUND AG KAT. A AT0000746409 New Fundamental factor: 0.9583 VIENNA INSURANCE GROUP AG AT0000908504 New Fundamental factor: 2.4948 VOESTALPINE AG AT0000937503 New Fundamental factor: 1.4475 WIENERBERGER AG AT0000831706 New Fundamental factor: 1.0991 |
|
|||||||
| 03/24/2025 |
AGRANA BETEILIGUNGS-AG AT000AGRANA3 New Smoothing factor: 4.3591 AMAG AUSTRIA METALL AG AT00000AMAG3 New Smoothing factor: 5.1900 AT&S AUSTRIA TECH.&SYSTEMTECH. AT0000969985 New Smoothing factor: 2.8934 BKS BANK AG ST AT0000624705 New Smoothing factor: 3.5592 CA IMMOBILIEN ANLAGEN AG AT0000641352 New Smoothing factor: 1.8645 ERSTE GROUP BANK AG AT0000652011 New Smoothing factor: 0.2523 EVN AG AT0000741053 New Smoothing factor: 1.6972 KAPSCH TRAFFICCOM AG AT000KAPSCH9 New Smoothing factor: 7.1199 LENZING AG AT0000644505 New Smoothing factor: 2.4986 OBERBANK AG ST AT0000625108 New Smoothing factor: 1.2740 OESTERREICHISCHE POST AG AT0000APOST4 New Smoothing factor: 1.7985 PALFINGER AG AT0000758305 New Smoothing factor: 2.8650 ROSENBAUER INTERNATIONAL AG AT0000922554 New Smoothing factor: 4.2815 TELEKOM AUSTRIA AG AT0000720008 New Smoothing factor: 1.7837 UBM DEVELOPMENT AG AT0000815402 New Smoothing factor: 5.6224 UNIQA INSURANCE GROUP AG AT0000821103 New Smoothing factor: 1.8037 VERBUND AG KAT. A AT0000746409 New Smoothing factor: 1.1405 VIENNA INSURANCE GROUP AG AT0000908504 New Smoothing factor: 1.6369 WIENERBERGER AG AT0000831706 New Smoothing factor: 1.0958 ZUMTOBEL GROUP AG AT0000837307 New Smoothing factor: 4.1357 |
|
|||||||
| 03/24/2025 |
Inclusion: ALTEO HU0000155726 Number of shares: 19,931,474 FFF: 0.30 RF: 1 Exclusion: AUTOWALLIS HU0000164504 MOL HU0000153937 New RF: 0.77 OTP BANK HU0000061726 New RF: 0.17 RICHTER GEDEON HU0000123096 New RF: 0.69 Exclusion: WABERERS HU0000120720 |
|
|||||||
Further information on index changes:
Index adjustments
ATX watchlist
Index reviews
Comittee dates
Comittee members ATX
Comittee members CEE & CIS
Comittee decisions
