Invesco Euro STOXX High Dividend Low Volatility

High dividend/low volatility US companies

(EUHD)
£20.57
Previous business day’s close price
+£4.71 (+23.5%)
max available period
£18.75
£26.05

04 Jan 21
20 Nov 24

Details

ETF description

This ETF aims to track the performance of European companies that offer high dividend payouts and tend to exhibit lower price volatility compared to other stocks. By focusing on both income generation and stability, it selects companies with a strong history of dividend payments while seeking to avoid stocks with more significant price swings.

This ETF might appeal to investors who are looking for a balance between income generation and reduced exposure to market fluctuations.

Issuer details

Invesco is one of the world’s largest ETF providers with over US$680 billion globally in ETF assets under management (as at 31 March 2024). It offers over 140 EMEA ETFs spanning regions and strategies across equities, fixed income and commodities.

Its culture of innovation lets it find new opportunities for investors, as well as ways to improve the performance of core ETF exposures.

Index details

The Euro Stoxx High Dividend Low Volatility index offers investors a balanced approach to income generation and risk management by focusing on high‑dividend‑yielding stocks with lower price volatility from the Eurozone. The index captures the performance of stable, high‑yielding companies in the Eurozone, providing a reliable income stream while aiming to minimize market volatility.

This ETF is in collections:

ETF Breakdown

ABN AMRO Bank N.V.
2.9%
Enagas SA
2.8%
Nordea Bank Abp
2.8%
Volkswagen AG
2.7%
Engie Energia Chile S.A.
2.6%
Intesa Sanpaolo Spa
2.6%
Mercedes‑Benz Group AG
2.5%
OMV AG
2.4%
Basf SE
2.4%
Bawag Group AG
2.3%
Caixabank
2.3%
Telefonica S.A
2.3%
Italgas S.p.A
2.3%
K&S AG
2.3%
Ageas
2.2%
Repsol S.A
2.2%
Credit Agricole S.A.
2.2%
BNP Paribas
2.2%
TietoEVRY Corporation
2.2%
Freenet AG
2.2%
Bayerische Motoren Werke AG
2.1%
Fortum Oyj
2.1%
Poste Italiane S.p.a
2.1%
Aegon Limited Eur 0.12
2.1%
Klepierre
2.0%
Eni Spa
2.0%
Orange.
2.0%
Mediobanca ‑ Banca Di Credito Finanziario Spa
2.0%
ING Groep N.V.
1.9%
Kesko Oyj
1.9%
Enel Spa
1.9%
Erste Group Bank AG
1.9%
Snam S.p.A.
1.9%
KBC Group SA NV
1.9%
Porsche Automobil Holding SE
1.9%
Amundi
1.8%
Bankinter SA
1.8%
Naturgy Energy Group S.A.
1.8%
Evonik Industries AG
1.7%
Redeia Corporacion S.A.
1.7%
Randstad NV
1.7%
Endesa S.A.
1.6%
Viscofan S.A.
1.5%
UPM‑Kymmene Oyj
1.4%
Koninklijke KPN NV
1.4%
EDP‑Energias DE Portugal S.A.
1.3%
Sampo Oyj
1.2%
Warehouses de Pauw NV
1.2%
Groep Brussel Lambert NV
1.2%
Andritz AG
1.1%
Others
< 0.1%
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Previous business day’s close price

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ETFs have spreads and annual charges and come with risks like market volatility, liquidity, and concentration, and may not always accurately track their index. Past performance and forecasts are not reliable indicators of future results. The value of your investments, including any income, can rise or fall. You may get back less than you originally invested.
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