MSCI AC Asia Pacific High Dividend Low Volatility Index

The MSCI AC Asia Pacific High Dividend Low Volatility Index (‘the Index’) is based on the MSCI AC Asia Pacific Index, its parent index, and is designed to represent the performance of securities with high dividend yield and quality characteristics. The Index is inverse volatility weighted to achieve lower volatility.
Index code
751997
Index type
Equity
Benchmark administrator
--
Div Yld (%)
5.38
P/E
12.58
P/E Fwd
11.98
P/BV
1.40
Number of constituents
49
Index Market Cap
$699.57 B
Largest constituent Market Cap
$34.63 B
Smallest constituent Market Cap
$5.39 B
Average constituent Market Cap
$14.27 B
Median constituent Market Cap
$13.01 B
Does this benchmark pursue ESG objectives?
N/A*
Data as of Feb. 27, 2026 
* For ESG objective information, please see this page

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