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Published in Equity Indices

The FTSE BIVA Index is designed to reflect the performance of liquid Mexican companies, which are constituents of the FTSE Mexico All Cap Index. Using the FTSE Global Equity Index Series (GEIS) as a base, the FTSE BIVA Index applies a higher liquidity threshold to achieve accurate and investable universe coverage while maintaining consistency and integrity. Index constituents are weighted by market capitalization, and each security is tested for liquidity at the semi-annual index reviews in March and September.

Through the FTSE BIVA Index, FTSE Russell provides the insights and tools necessary for investors to gain an accurate view into the most liquid tier of the Mexican market, providing investors with an easily understandable framework for analyzing equity portfolios and managing funds based on active or passive mandates. The FTSE BIVA Index is suitable for benchmarking purposes and as tools in the creation of a wide variety of financial products, such as index-linked funds, exchange traded funds (ETFs) and derivatives contracts. Real time and end of day data is available from Bloomberg (FTBIVA) and Thomson Reuters (.FTFTBIVA). Price, total, and net of tax values are available for the Index.

Key Features and Coverage on RIMES

For this data source, RIMES hosts approximately 90 companies and 1 index (FTSE BIVA Index).

Some of the data items available include the following:

  • COMPANY Items: Cusip Code, Dividend Per Share Gross, Dividend Per Share Net, Float Market Value in Local Currency, Gross Adjustment Factor, Index Map Symbol, Investable Factor, Investable Market Value in Local Currency, Investable Shares Outstanding, Investable Weight in Index (Source), Market Value in Local Currency, Net Adjustment Factor, Next Date of Portfolio, Original Currency, Shares Outstanding, Source Investible Value in Mexican Peso, Source Investible Value in US Dollars, Unadjusted Price in Local Currency, etc.
  • COMPANY and INDEX Items: Adjusted Price, Bloomberg Ticker, Country Code, Country Description, Currency Code, Database Domain Code, Date of Portfolio, Exchange Identification Code, Float Market Value, Float Market Value in Mexican Peso (Source), Float Market Value in US Dollars (Source), Free Float Factor, FTSE Code, Industry Level Codes, ISIN Code, Last Price Date, Market Identifier Code, Market Value, Market Value in Mexican Peso (Source), Market Value in US Dollars (Source), Net Return, Sedol Code, Shares Outstanding, Total Return, Unadjusted Price, Yield, etc.
  • INDEX Items: Net Index, Dividend Adjustment Factor, Divisor Factor in Mexican Pesos, Gross Index, Gross Index Divisor in US Dollars, Market Capitalization, Net Dividend Adjustment Factor, Net Index, Next Day Constituent File Flag, Next Day Divisor in Mexican Peso, Next Day File Flag, Next Day Gross Index Divisor in US Dollars, Next Day Gross Index Market Capitalization in Mexican Peso, Next Day Market Capitalization in Mexican Peso, Next Day Net Index Divisor in US Dollars, Next Day Net Index Level Market Capitalization in Mexican Peso, Next Day Number of Constituents, Nominal Yield, Number of Constituents, Price Index, Year to Date Ex Dividend Adjustment, etc.


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