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MSCI Greece Index
The MSCI Greece Index is designed to measure the performance of the large and mid cap segments of the Greek market. The index covers approximately 85% of the Greece equity universe.
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Composition
Index code
930000
Index type
Equity
Benchmark administrator
--
Div Yld (%)
3.47
P/E
8.06
P/E Fwd
7.68
P/BV
1.14
Number of constituents
9
Index Market Cap
$43.79 B
Largest constituent Market Cap
$8.87 B
Smallest constituent Market Cap
$2.67 B
Average constituent Market Cap
$4.86 B
Median constituent Market Cap
$4.69 B
Does this benchmark pursue ESG objectives?
No
Data as of April 30, 2025
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Index risk and return characteristics
Annualized std dev (%)
2
Sharpe ratio
2,3
Maximum drawdown
Index
Turnover(%)
1
3 YR
5 YR
10 YR
3 YR
5 YR
10 YR
%
Period YYYY-MM-DD
MSCI Greece Index
6.58
23.72
25.79
33.56
1.02
0.83
0.07
98.50
2007-11-07 - 2020-03-18
MSCI ACWI IMI Index
2.30
15.64
15.40
15.04
0.39
0.69
0.48
58.59
2007-10-31 - 2009-03-09
1
Last 12 months
2
Based on monthly NETR returns data
3
Based on EMMI EURIOBOR 1M FROM Sep 1 2021 & ICE LIBOR 1M prior that date
Data as of April 30, 2025.
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Top 10 constituents
NATIONAL BANK OF GREECE
19.74%
EUROBANK HOLDINGS
15.60%
PIRAEUS FINANCIAL HLDGS
12.75%
ALPHA SERVICES AND HLDGS
11.62%
METLEN ENERGY & METALS
10.89%
OPAP
8.85%
JUMBO
7.86%
OTE HELLENIC TELECOM
6.74%
PUBLIC POWER CORP
5.94%
Sector weights
Country weights
Data as of April 30, 2025.
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