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FTSE Mondo Visione Exchanges Index:

The Europe Dow Closes April Down 4.14% According To Dow Jones Indexes - Novo Nordisk Topped All 30 Europe Dow Components With 6.66% Gain For The Month

Date 02/05/2012

The Europe Dow, an equal-weighted index that measures 30 of the region’s leading blue-chip stocks, declined 4.14% in April, according to data compiled by Dow Jones Indexes, a leading global index provider.

The index’s top component performer for April was Novo Nordisk A/S Series B of Denmark, which closed up 6.66%. Shares of Diageo PLC (Great Britain) and GlaxoSmithKline PLC (Great Britain), up 4.91% and 3.71%, respectively, were the second- and third-leading stocks on The Europe Dow. UniCredit S.p.A. (Italy), which fell 20.46%, was The Europe Dow’s worst-performing stock in April.

By comparison, the Dow Jones Industrial Average ended April up 0.01%, The Asia Dow fell 1.09% and The Global Dow loss 2.93%. The Asia Dow is an equal-weighted, 30-stock index that measures leading blue-chips traded in the Asia/Pacific region; The Global Dow measures the performance of 150 leading companies from around the world.

For March 2012, The Europe Dow ended down 2.11%.

The Europe Dow, The Asia Dow and The Global Dow track leading blue-chip companies according to the same underlying principles as the Dow Jones Industrial Average. Stocks in The Europe Dow, The Asia Dow and The Global Dow are weighted equally; The Dow Jones Industrial Average uses a price-weighted methodology.

All index and component performance values are based on price returns/USD.

Below, please find a list of The Europe Dow’s 30 stocks and their April 2012 performances:

The Europe Dow

April 2012

components

performance

1       Novo Nordisk A/S Series B

6.66%

2.        Diageo PLC

4.91%

3.        GlaxoSmithKline PLC

3.71%

4.        Anglo American PLC

2.98%

5.        Royal Dutch Shell PLC A

1.74%

6.        HSBC Holdings PLC (UK Reg)

1.69%

7.        Rio Tinto PLC

1.24%

8.        Vivendi S.A.

0.87%

9.        Unilever N.V. CVA

0.77%

10.      Vodafone Group PLC

0.63%

11.      Novartis AG

-0.25%

12.      BP PLC

-2.22%

13.      Tesco PLC

-2.26%

14.      Nestle S.A.

-2.53%

15.      L.M. Ericsson Telephone Co. Series B

-4.12%

16.      H&M Hennes & Mauritz AB Series B

-4.81%

17.      E.ON AG

-5.29%

18.      BASF SE

-5.76%

19.      Schneider Electric S.A.

-5.85%

20.      Total S.A.

-6.25%

21.      Allianz SE

-6.49%

22.      Siemens AG

-8.00%

23.      Daimler AG

-8.19%

24.      UBS AG

-10.82%

25.      Telefonica S.A.

-10.93%

26.      Vinci S.A.

-11.03%

27.      ABB Ltd.

-11.07%

28.      BNP Paribas S.A.

-15.21%

29.      Banco Santander S.A.

-18.70%

30.      UniCredit S.p.A.

-20.46%