Components Vanguard FTSE Japan UCITS ETF - USD

ETF

VDJP

IE00B95PGT31

Delayed London S.E. 04:37:14 2024-04-19 am EDT 5-day change 1st Jan Change
35 USD -1.39% Intraday chart for Vanguard FTSE Japan UCITS ETF - USD -2.98% +4.37%

Composition of Vanguard FTSE Japan UCITS ETF - USD

Price
Change
5d. change
1-year change
Weight
3,522 JPY -2.22%-6.50%+93.20%5.14%
12,530 JPY -1.80%-3.91%+1.79%2.75%
1,500 JPY -1.12%-3.23%+68.60%2.34%
62,600 JPY -3.65%-3.54%+1.81%2.01%
6,129 JPY -4.22%-6.17%+49.49%1.88%
33,530 JPY -8.74%-15.11%+121.61%1.84%
13,330 JPY -3.09%-8.73%+74.20%1.50%
8,536 JPY -0.89%-4.75%+49.23%1.46%
6,111 JPY -3.18%-9.43%+60.82%1.44%
7,125 JPY -0.54%-4.09%+66.43%1.31%
7,455 JPY -1.77%-3.62%+34.52%1.27%
6,504 JPY -1.93%-4.31%+44.44%1.27%
3,452 JPY -0.43%-4.56%+105.03%1.27%
4,636 JPY +2.20%+0.09%-3.60%1.21%
1,747 JPY -2.16%-7.03%+47.55%1.18%
4,252 JPY +0.43%-1.44%+2.75%1.15%
4,638 JPY -0.73%-3.25%+71.30%1.09%
4,069 JPY -0.49%-1.86%-9.13%1.03%
2,942 JPY -0.96%-3.22%+45.03%1.02%
19,215 JPY -1.49%-5.04%-17.27%1.01%
7,648 JPY -2.89%-9.86%+47.67%1.01%
17,320 JPY -2.31%+1.94%+21.59%1.00%
40,520 JPY -1.05%-3.89%+26.23%0.90%
2,677 JPY -3.98%-5.42%+1.77%0.84%
4,546 JPY -1.11%-4.90%-7.79%0.82%
167.9 JPY -1.12%-4.17%+3.64%0.81%
1,818 JPY -0.30%-2.49%+18.55%0.81%
2,820 JPY -1.95%-4.99%+50.53%0.72%
4,072 JPY -0.07%-2.30%+40.95%0.72%
1,996 JPY +1.27%-0.20%-0.06%0.72%
76,700 JPY -5.69%-11.05%+11.76%0.70%
4,265 JPY -1.68%-2.94%-8.20%0.66%
2,458 JPY -1.42%-4.38%+52.96%0.65%
2,448 JPY -0.91%-2.76%+36.15%0.63%
5,484 JPY -4.38%-8.86%+92.93%0.59%
4,921 JPY -3.32%-6.03%+48.27%0.58%
2,598 JPY -1.87%-2.97%+33.24%0.57%
4,351 JPY -0.80%-3.35%+46.42%0.57%
4,353 JPY -1.43%-4.66%+33.00%0.56%
2,396 JPY -6.04%-10.38%+27.92%0.56%
3,721 JPY -0.96%-2.46%+50.83%0.56%
2,538 JPY -1.40%-3.06%+29.02%0.55%
6,692 JPY -0.28%+0.28%+24.87%0.54%
3,556 JPY -0.81%-1.77%+7.82%0.54%
3,111 JPY -1.30%-5.35%+33.69%0.51%
1,570 JPY -2.70%-6.24%+87.00%0.51%
1,480 JPY +1.02%-5.76%-26.36%0.50%
3,330 JPY -0.39%-4.53%+45.86%0.50%
1,359 JPY -0.91%-3.86%+4.86%0.49%
6,592 JPY -2.66%+3.31%-1.38%0.49%

ETF Ratings

Description

IE00B95PGT31
Total Expense Ratio 0.15%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Japan Net Tax Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2013-05-20
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 2,432 M€
AuM 1M 2,329 M€
AuM 3 months 2,054 M€
AuM 6 months 2,008 M€
AuM 12 months 1,580 M€
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