tags | founder run companies
Question:
The https://www.solactive.com/Indices/?index=DE000SLA21M5 → Index Composition tab → sort by the “Index Shares” column shows
NAME INDEX SHARES QUANTUMSCAPE CORP 7.098485 PALANTIR TECHNOLOGIES INC 6.411535 SNAP INC 5.704867 MEDICAL PROPERTIES TRUST INC 5.665837 ROBINHOOD MARKETS INC - A 5.614621 BLUE OWL CAPITAL INC 4.412912 RIVIAN AUTOMOTIVE INC 3.875928 UIPATH CL A ORD 3.529076 VORNADO REALTY TRUST 3.310419 SENTINELONE INC 3.092059
But https://www.solactive.com/Indices/?index=DE000SLA21M5 → Documents → Factsheet → pg-2 → “TOP COMPONENTS AS OF 30-Jun-2023” shows
Company Ticker Country Currency Index Weight (%) PALANTIR TECHNOLOGIES INC PLTR UN Equity US USD 1.78% WAYFAIR INC W UN Equity US USD 1.68% ZSCALER INC ZS UW Equity US USD 1.46% TESLA INC TSLA UW Equity US USD 1.43% NVIDIA CORP NVDA UW Equity US USD 1.37% BILL HOLDINGS INC BILL UN Equity US USD 1.37% APPLOVIN CORP APP UW Equity US USD 1.36% DATADOG INC DDOG UW Equity US USD 1.31% CLOUDFLARE INC - CLASS A NET UN Equity US USD 1.25% SNAP INC SNAP UN Equity US USD 1.22%
Why are these two different?