Northern Trust Logo
 

Northern Trust Emerging Markets Quality Low Volatility Index

 
 
Search go
  • Snapshot
  • Performance
  • Characteristics
  • Index Documents
Index Overview
The Northern Trust Emerging Markets Quality Low Volatility Index is designed to construct a high quality universe of companies that possess lower overall absolute volatility (i.e. risk) relative to an eligible emerging market universe. An emphasis is placed on a company’s income and capital growth, while also reducing overall volatility of returns relative to an eligible universe of emerging market securities. The proprietary Northern Trust quality factor is used to identify companies that exhibit strength in profitability, management efficiency and cash flow.
Index Construction
Optimized
Index Methodology
The construction of the Index begins with a universe of eligible securities. All eligible securities are then optimized to achieve a reduction in volatility, as well as a quality tilt, all while systematic risk relative to the benchmark is managed during the optimization utilizing several constraints.

For more details on this methodology, please see the Index Documents tab.
Index Return Streams & Symbols
  • Price Return: NTEQLV
  • Total Return: NTEQLVTR
  • Net Total Return: NTEQLVNTR
Inception Date 30-Jun-14
Index Value at Inception Date1,000
Hypothetical Inception Date 31-Dec-07
Index Value at Hypothetical Inception Date640.37

Total Returns

As of 26-Jul-24
 1 Month %1 Month Annualized %3 Month %3 Month Annualized %6 Month %6 Month Annualized %YTD %YTD Annualized %Since Inception %Since Inception Annualized %Inception Date
NTEQLVNTR
1.2215.886.0626.619.8520.749.2616.6350.884.17 30-Jun-14
.
Index Characteristics
 
Index Constituents164
Weighted Average Market Capitalization$127,022,292,534.02
Weighted Average Yield3.23%
26-Jul-24
Weighted Average P/E16.14
Weighted Average P/B2.08
Weighted Average ROE18.97
Index Composition

Top 10 Constituents Weights
View All

as of 26-Jul-24
Security NameWeight
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD 8.67%
TENCENT HOLDINGS LTD 3.75%
TATA CONSULTANCY SERVICES LTD 2.89%
ALIBABA GROUP HOLDING LTD 2.34%
CHINA CONSTRUCTION BANK CORP 2.04%
HINDUSTAN UNILEVER LTD 1.37%
POWER GRID CORPORATION OF INDIA LTD 1.28%
International Holding Company PJSC 1.25%
HCL TECHNOLOGIES LTD 1.24%
BANK OF CHINA LTD 1.15%
% of Index25.98%

Index Sector Weightings
 

as of 26-Jul-24
SectorWeight
Financials 21.12%
Information Technology 19.27%
Communication Services 12.69%
Consumer Discretionary 9.77%
Consumer Staples 9.10%
Health Care 7.07%
Industrials 6.84%
Utilities 6.40%
Energy 3.90%
Materials 3.52%
Real Estate 0.31%
TOTAL100.00%

Top 10 Country Weightings

as of 26-Jul-24
CountryWeight
INDIA 23.39%
TAIWAN 19.68%
CHINA 17.68%
SOUTH KOREA 7.86%
UNITED ARAB EMIRATES 5.98%
MALAYSIA 5.18%
SAUDI ARABIA 4.48%
BRAZIL 3.64%
THAILAND 2.46%
QATAR 2.41%
% of Index92.76%
.
 MethodologyIndex HoldingsRebalance ScheduleProforma Index HoldingsIndex Performance since
Hypothetical Inception
Northern Trust Emerging Markets Quality Low Volatility Index
NTEQLVNTR
Download PDFDownload ExcelDownload PDFDownload ExcelDownload Excel
.