Level Chart

Basic Info

Euro High Yield Index Total Return Index Value is at a current level of 388.13, up from 385.95 the previous market day and up from 375.95 one year ago. This is a change of 0.56% from the previous market day and 3.24% from one year ago.

This data represents the ICE BofA Euro High Yield Index value, which tracks the performance of Euro denominated below investment grade corporate debt publicly issued in the euro domestic or eurobond markets. Qualifying securities must have a below investment grade rating (based on an average of Moody's, S&P, and Fitch). Qualifying securities must have at least one year remaining term to maturity, a fixed coupon schedule, and a minimum amount outstanding of Euro 100 million. Original issue zero coupon bonds, "global" securities (debt issued simultaneously in the eurobond and euro domestic markets), 144a securities and pay-in-kind securities, including toggle notes, qualify for inclusion in the Index. Callable perpetual securities qualify provided they are at least one year from the first call date. Fixed-to-floating rate securities also qualify provided they are callable within the fixed rate period and are at least one year from the last call prior to the date the bond transitions from a fixed to a floating rate security. Defaulted, warrant-bearing and euro legacy currency securities are excluded from the Index.

Stats

Last Value 388.13
Latest Period Apr 01 2026
Last Updated Apr 2 2026, 11:05 EDT
Next Release Apr 6 2026, 10:00 EDT
Average Growth Rate 4.80%
Value from The Previous Market Day 385.95
Change from The Previous Market Day 0.56%
Value from 1 Year Ago 375.95
Change from 1 Year Ago 3.24%
Frequency Market Daily
Adjustment N/A

Historical Data

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Date Value
April 01, 2026 388.13
March 31, 2026 385.95
March 30, 2026 385.21
March 27, 2026 386.17
March 26, 2026 387.47
March 25, 2026 388.34
March 24, 2026 386.92
March 23, 2026 386.63
March 20, 2026 387.73
March 19, 2026 388.64
March 18, 2026 390.38
March 17, 2026 390.06
March 16, 2026 389.16
March 13, 2026 389.57
March 12, 2026 390.57
March 11, 2026 391.87
March 10, 2026 392.75
March 09, 2026 390.53
March 06, 2026 393.19
March 05, 2026 394.51
March 04, 2026 394.74
March 03, 2026 393.75
March 02, 2026 395.32
February 28, 2026 396.71
February 27, 2026 396.60
Date Value
February 26, 2026 396.85
February 25, 2026 396.73
February 24, 2026 396.62
February 23, 2026 396.94
February 20, 2026 396.66
February 19, 2026 396.41
February 18, 2026 396.13
February 17, 2026 395.75
February 16, 2026 395.84
February 13, 2026 395.61
February 12, 2026 396.11
February 11, 2026 396.18
February 10, 2026 396.26
February 09, 2026 396.12
February 06, 2026 395.80
February 05, 2026 395.89
February 04, 2026 395.93
February 03, 2026 395.78
February 02, 2026 395.34
January 31, 2026 395.47
January 30, 2026 395.41
January 29, 2026 395.41
January 28, 2026 395.65
January 27, 2026 395.72
January 26, 2026 395.45

Basic Info

Euro High Yield Index Total Return Index Value is at a current level of 388.13, up from 385.95 the previous market day and up from 375.95 one year ago. This is a change of 0.56% from the previous market day and 3.24% from one year ago.

This data represents the ICE BofA Euro High Yield Index value, which tracks the performance of Euro denominated below investment grade corporate debt publicly issued in the euro domestic or eurobond markets. Qualifying securities must have a below investment grade rating (based on an average of Moody's, S&P, and Fitch). Qualifying securities must have at least one year remaining term to maturity, a fixed coupon schedule, and a minimum amount outstanding of Euro 100 million. Original issue zero coupon bonds, "global" securities (debt issued simultaneously in the eurobond and euro domestic markets), 144a securities and pay-in-kind securities, including toggle notes, qualify for inclusion in the Index. Callable perpetual securities qualify provided they are at least one year from the first call date. Fixed-to-floating rate securities also qualify provided they are callable within the fixed rate period and are at least one year from the last call prior to the date the bond transitions from a fixed to a floating rate security. Defaulted, warrant-bearing and euro legacy currency securities are excluded from the Index.

Stats

Last Value 388.13
Latest Period Apr 01 2026
Last Updated Apr 2 2026, 11:05 EDT
Next Release Apr 6 2026, 10:00 EDT
Average Growth Rate 4.80%
Value from The Previous Market Day 385.95
Change from The Previous Market Day 0.56%
Value from 1 Year Ago 375.95
Change from 1 Year Ago 3.24%
Frequency Market Daily
Adjustment N/A