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BNP Paribas Easy Low Volatility Europe UCITS ETF

0E5A.XLON
€214.20 (+ €2.05 + 0.97%)
Last updated: 2026-05-21 19:11 UTC
0E5A.XLON Metrics
Exchange
🇬🇧 LSE XLON
London Stock ExchangeUnited KingdomEurope/London
Sector N/A
Industry N/A
ISINN/A
Market PriceN/A
Dividend Yield N/A
Dividend Growth
1YN/A
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10YN/A
Annual Dividend N/A
Latest Payout ($)N/A
Latest Payout DateN/A
Dividend Frequency N/A
P/E RatioN/A
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Market CapN/A
Book ValueN/A
Price to BookN/A
Beta0.92
52w HighN/A
52w LowN/A
Next Earnings DateN/A
About the Company
BNP Paribas Easy Low Volatility Europe UCITS ETF is an exchange-traded fund that seeks to track the BNP Paribas Low Vol Europe index, focusing on European stocks selected for their low historical volatility. Launched on 7 June 2016 and domiciled in Luxembourg, the ETF employs a synthetic replication strategy using an unfunded swap to mirror the index's total return performance. It incorporates ESG criteria, filtering stocks based on environmental, social, and governance factors, including reductions in carbon emissions, human capital management, and corporate governance standards, while excluding companies involved in controversial activities or violations of UN Global Compact principles. The fund invests across diversified sectors and various market capitalizations within European public equity markets, targeting lower-risk profiles through volatility weighting. As an accumulating ETF, it reinvests dividends rather than distributing them, with costs embedded continuously in its performance. This structure positions it as a tool for investors seeking exposure to relatively stable European equities with sustainability considerations.
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