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S&P Global Property 40 Index

The index is designed to provide liquid exposure to 40 leading, publicly traded companies in the global property and real estate market. The S&P Global Property 40 Index is derived from the S&P Global Property Index, which includes over 400 stocks from the S&P Global BMI in the Real Estate Industry Group of the Global Industry Classification Standard (GICS®).

Performance Data

(as of 21-May-2013 )
Daily Annualized
Index Name Adjusted Market Cap ($Million) Index Level Performance
1 Day MTD QTD YTD
TOTAL RETURNS
S&P Global Property 40 (TR) N/A 3,806.75 -.24% -.41% 9.16% 13.95%
PRICE RETURNS
S&P Global Property 40 12,250.68 2,473.33 -.24% -.76% 8.7% 12.64%
Index Name Performance
(as of 30-Apr-2013 )
1 Year 3 Year 5 Year
TOTAL RETURNS
S&P Global Property 40 (TR) 28.71% 17.82% 5.08%
PRICE RETURNS
S&P Global Property 40 24.61% 14.26% 1.51%

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Index Level Performance

  (as of 21-May-2013)
Download data Download Excel Document
Cumulative Performance

Index Characteristics

(as of 21-May-2013)




Number of Constituents 40
Adjusted Market Cap ($ Billion) 12.25
Constituent Mkt. Cap(Adjusted $ Billion)
  - Average .31
  - Largest 1.13
  - Smallest .09
  - Median .24
% Weight Largest Constituent 9.26%
Top 10 Holdings(% Market Cap Share) 47.15%

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