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QuantVerse PFIZER 1.68 Points Adjusted Return Index

PFIZER

24.4898
as of 2026-06-26
QuantVerse PFIZER Family family:GTRAR

Index metadata

Return type
Adjusted Return
Index type
STANDARD
Currency
USD
CA treatment
SOD
Base date
2021-01-29
Base value
100

Adjusted Return configuration

Derivative
GTR
Adjustment type
POINTS
Frequency
DAILY
Adjustment factor
-1.68
Day count
365

Performance

Current constituents & weights

2 constituents
The latest date (2026-06-29) shows the prepared share counts for the upcoming session. Its percentage weighting is only calculated at the next ~17:00 EST index calculation (it requires the day's prices and index level).
DateAdjustmentComponentQuantVerse PFIZER Gross Total Return Index
SharesPercentageSharesPercentage
2026-06-26-0.00460.2774
2026-06-29-0.01380.2774

No methodology document available for this index.