MSCI Germany Minimum Volatility Index (EUR)

The MSCI Germany Minimum Volatility Index (EUR) aims to reflect the performance characteristics of a minimum variance strategy applied to large and mid cap equities in Germany. The index is calculated by optimizing the MSCI Germany Index, its parent index, for the lowest absolute risk (within a given set of constraints) and is denominated in euros (EUR).
Index code
139434
Index type
Equity
Benchmark administrator
--
Div Yld (%)
2.66
P/E
15.62
P/E Fwd
14.44
P/BV
1.84
Number of constituents
42
Index Market Cap
$1.81 T
Largest constituent Market Cap
$94.49 B
Smallest constituent Market Cap
$2.48 B
Average constituent Market Cap
$43.25 B
Median constituent Market Cap
$32.96 B
Does this benchmark pursue ESG objectives?
No
Data as of Nov. 28, 2025 

Want to learn more about MSCI indexes?
Get in touch.