Components Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY

ETF

2552

JP3048910008

Delayed Japan Exchange 10:07:32 2026-07-23 pm EDT 5-day change 1st Jan Change
2,000.00 JPY +0.25% Intraday chart for Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY +1.21% -8.47%

Components: Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY

134,700.00JPY+1.66%-5.74%7.43%
122,300.00JPY+0.91%-6.57%5.79%
118,000.00JPY+0.77%-4.92%5.12%
154,300.00JPY+0.39%-10.86%4.52%
157,800.00JPY+0.45%-10.29%4.35%
143,400.00JPY+0.07%-3.69%3.98%
91,000.00JPY+0.66%-2.05%3.88%
124,100.00JPY+0.49%-13.34%3.52%
163,600.00JPY+0.25%-10.60%3.45%
101,200.00JPY+0.70%-4.80%3.44%
62,000.00JPY+0.49%-3.73%3.25%
150,200.00JPY-0.60%-12.37%2.96%
81,400.00JPY+0.49%-0.49%2.81%
97,300.00JPY+0.83%-7.95%2.46%
110,800.00JPY+0.09%-9.25%2.13%
76,400.00JPY+0.13%-15.11%2.13%
147,100.00JPY+0.41%-4.60%2.09%
122,000.00JPY+0.41%-9.23%1.88%
140,500.00JPY-0.85%-0.21%1.84%
100,500.00JPY+0.60%-3.46%1.71%
152,000.00JPY+0.33%-4.16%1.64%
131,000.00JPY0.00%-12.08%1.45%
125,900.00JPY+0.08%-8.30%1.41%
97,900.00JPY-0.31%-14.20%1.4%
103,800.00JPY-0.57%-6.63%1.39%
82,200.00JPY+0.24%-11.61%1.36%
340,000.00JPY+1.64%-9.21%1.32%
158,700.00JPY0.00%-10.08%1.29%
76,800.00JPY+0.13%-1.66%1.27%
135,900.00JPY-0.07%-3.21%1.21%
193,800.00JPY+0.41%-6.42%1.17%
124,200.00JPY+0.32%-6.55%1.11%
83,600.00JPY-0.48%-15.38%1.11%
142,600.00JPY+0.35%-4.30%1.08%
134,300.00JPY-0.07%-14.57%1.02%
55,800.00JPY0.00%-9.56%0.99%
243,700.00JPY+0.37%-6.70%0.99%
110,800.00JPY-0.18%-19.59%0.94%
179,900.00JPY+0.39%-4.41%0.92%
137,800.00JPY-0.36%-17.14%0.72%
96,200.00JPY+0.63%-1.13%0.62%
141,800.00JPY-0.28%-15.90%0.58%
41,500.00JPY-0.36%-17.66%0.58%
82,200.00JPY-0.12%-12.09%0.55%
107,000.00JPY-1.29%-15.28%0.53%
78,100.00JPY+0.13%-14.08%0.39%
186,600.00JPY-0.32%-7.49%0.29%
132,800.00JPY0.00%-9.10%0.28%
109,300.00JPY-0.18%-7.14%0.27%
94,000.00JPY-0.63%-19.31%0.27%

Description

JP3048910008
Total Expense Ratio 0.24%
Asset Class Stocks
Sector
Currency
Provider
Underlying TSE REIT Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
2019-06-02
Geographical Focus

Distribution

Retail investor

AuM evolution - 2026-02-26

AuM (JPY) 39.55B
AuM 1M 43.37B
AuM 3 months 49.78B
AuM 6 months 49.75B
AuM 12 months 53.62B
  1. Stock Market
  2. ETF
  3. 2552 ETF
  4. Components Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY