中证ECPI ESG可持续发展40指数

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中证ECPI ESG可持续发展40指数下跌0.45%
Jin Rong Jie· 2025-08-01 10:49
Core Viewpoint - The China Securities Index (CSI) ECPI ESG Sustainable Development 40 Index has shown a slight decline recently, with a 0.45% drop reported, while it has experienced a 3.14% increase over the past month and a 5.81% increase over the past three months [1] Group 1 - The CSI ECPI ESG Sustainable Development 40 Index is composed of 40 listed companies selected based on high ESG ratings from the Shanghai 180 Corporate Governance Index [1] - The index was established on June 30, 2010, with a base value of 1000.0 points [1] - The trading volume for the index was reported at 41.786 billion yuan [1] Group 2 - The index samples are adjusted biannually, specifically on the second Friday of January and July, with a sample adjustment ratio generally not exceeding 10% [2] - In cases where the average total market value of old samples remains in the top 60% of the sample space, they will be prioritized for retention during adjustments [2] - Temporary adjustments to the index can occur if there are significant changes in the ECPI ESG ratings of the samples [2]
中证ECPI ESG可持续发展40指数上涨0.2%,前十大权重包含大秦铁路等
Jin Rong Jie· 2025-07-03 11:00
Core Viewpoint - The China Securities Index ESG Sustainable Development 40 Index (ESG 40) has shown a slight increase of 0.2% to 1654.07 points, with a trading volume of 28.254 billion yuan, reflecting the performance of high ESG-rated companies in the Shanghai Stock Exchange [1] Group 1: Index Performance - The ESG 40 Index has increased by 1.04% over the past month and 0.87% over the last three months, but has decreased by 2.56% year-to-date [1] - The index is based on the ECPI ESG rating method, selecting 40 listed companies from the Shanghai 180 Corporate Governance Index that have high ESG ratings [1] Group 2: Index Holdings - The top ten weighted companies in the ESG 40 Index include: Industrial Bank (3.5%), Shengyi Technology (3.22%), Daqin Railway (3.2%), New China Life Insurance (3.17%), Bank of Communications (3.01%), Agricultural Bank of China (2.87%), Hengrui Medicine (2.85%), Sany Heavy Industry (2.85%), Juhua Co. (2.8%), and Huadian International (2.77%) [1] - The index is fully composed of companies listed on the Shanghai Stock Exchange, with a 100% allocation [1] Group 3: Industry Composition - The industry composition of the ESG 40 Index is as follows: Industrial (34.29%), Financial (12.54%), Utilities (11.95%), Materials (9.53%), Consumer Staples (6.85%), Consumer Discretionary (6.84%), Healthcare (5.36%), Energy (4.46%), Information Technology (3.22%), Communication Services (2.63%), and Real Estate (2.32%) [2] Group 4: Sample Adjustment Rules - The index samples are adjusted biannually, with adjustments occurring on the next trading day after the second Friday of January and July [3] - The sample adjustment typically does not exceed 10%, unless more than 10% of the old samples are removed from the sample space [3] - In cases of significant changes in the ECPI ESG ratings, the index may undergo temporary adjustments [3]
中证ECPI ESG可持续发展40指数上涨0.22%,前十大权重包含中远海控等
Jin Rong Jie· 2025-06-20 10:33
Core Viewpoint - The China Securities Index ESG Sustainable Development 40 Index (ESG 40) has shown a slight increase of 0.22% to 1623.73 points, despite experiencing declines of 1.72% over the past month, 1.44% over the past three months, and 4.16% year-to-date [1]. Group 1: Index Performance - The ESG 40 Index's trading volume reached 27.232 billion yuan [1]. - The index is based on the ECPI ESG rating method, selecting 40 high ESG-rated companies from the Shanghai Stock Exchange 180 Corporate Governance Index [1]. - The index was established on June 30, 2010, with a base value of 1000.0 points [1]. Group 2: Index Holdings - The top ten weighted stocks in the ESG 40 Index include: Industrial Bank (3.45%), Daqin Railway (3.34%), Shengyi Technology (3.19%), New China Life Insurance (3.1%), and Hengrui Medicine (2.88%) [1]. - The index is exclusively composed of stocks listed on the Shanghai Stock Exchange, with a 100% representation [1]. Group 3: Industry Composition - The industry composition of the ESG 40 Index is as follows: Industrial (34.49%), Utilities (12.09%), Financials (12.07%), Materials (9.40%), Consumer Staples (7.11%), Consumer Discretionary (6.82%), Healthcare (5.35%), Energy (4.50%), Information Technology (3.19%), Communication Services (2.66%), and Real Estate (2.31%) [2]. Group 4: Sample Adjustment Process - The index samples are adjusted biannually, with adjustments occurring on the next trading day after the second Friday of January and July [3]. - Sample adjustments typically do not exceed 10%, unless more than 10% of the old samples are removed from the sample space [3]. - In cases of significant temporary changes in the ECPI ESG ratings, the index will undergo immediate adjustments [3].
中证ECPI ESG可持续发展40指数下跌0.22%,前十大权重包含新华保险等
Jin Rong Jie· 2025-06-13 10:33
本文源自:金融界 金融界6月13日消息,上证指数低开低走,中证ECPI ESG可持续发展40指数 (ESG 40,000970)下跌 0.22%,报1634.71点,成交额445.28亿元。 数据统计显示,中证ECPI ESG可持续发展40指数近一个月上涨0.09%,近三个月上涨0.34%,年至今下 跌3.30%。 据了解,中证ECPI ESG可持续发展40指数根据 ECPI ESG 评级方法,从上证180公司治理指数样本中选 取ESG评级较高的40只上市公司证券作为指数样本,以反映上证180公司治理指数中ECPI ESG评级较高 上市公司证券的整体表现。该指数以2010年06月30日为基日,以1000.0点为基点。 从指数持仓来看,中证ECPI ESG可持续发展40指数十大权重分别为:生益科技(3.1%)、兴业银行 (3.07%)、新华保险(3.01%)、恒瑞医药(3.0%)、三一重工(2.86%)、巨化股份(2.82%)、华 能国际(2.79%)、农业银行(2.77%)、大秦铁路(2.76%)、华电国际(2.76%)。 从中证ECPI ESG可持续发展40指数持仓的市场板块来看,上海证券交易所占比100. ...
中证ECPI ESG可持续发展40指数下跌0.02%,前十大权重包含大秦铁路等
Jin Rong Jie· 2025-05-08 12:30
从中证ECPI ESG可持续发展40指数持仓的市场板块来看,上海证券交易所占比100.00%。 金融界5月8日消息,上证指数低开高走,中证ECPI ESG可持续发展40指数 (ESG 40,000970)下跌 0.02%,报1624.85点,成交额300.4亿元。 数据统计显示,中证ECPI ESG可持续发展40指数近一个月上涨5.98%,近三个月上涨0.14%,年至今下 跌4.08%。 据了解,中证ECPI ESG可持续发展40指数根据 ECPI ESG 评级方法,从上证180公司治理指数样本中选 取ESG评级较高的40只上市公司证券作为指数样本,以反映上证180公司治理指数中ECPI ESG评级较高 上市公司证券的整体表现。该指数以2010年06月30日为基日,以1000.0点为基点。 从指数持仓来看,中证ECPI ESG可持续发展40指数十大权重分别为:三一重工(3.14%)、生益科技 (2.91%)、恒瑞医药(2.89%)、中国联通(2.83%)、兴业银行(2.83%)、华能国际(2.81%)、大 秦铁路(2.79%)、贵州茅台(2.76%)、新华保险(2.76%)、巨化股份(2.75%)。 从中证E ...