Components Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

ETF

1399

JP3048170009

Market Closed - Japan Exchange 01:31:25 2026-07-17 am EDT 5-day change 1st Jan Change
3,063.00 JPY -0.52% Intraday chart for Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY +0.76% +12.20%

Components: Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

5,609.00JPY+1.58%+19.09%1.07%
2,654.50JPY+0.34%+5.05%1.06%
6,135.00JPY-4.47%+18.14%1.03%
26,510.00JPY-2.98%+53.28%1.03%
1,574.00JPY+2.01%-17.40%1.03%
2,574.00JPY-1.87%-0.96%1.03%
5,385.00JPY-0.79%+60.70%1.02%
2,151.00JPY+0.14%+2.77%1.02%
5,160.00JPY-2.16%+13.31%1.02%
7,608.00JPY-3.50%+41.86%1.02%
5,576.00JPY-3.26%-9.41%1.02%
1,829.50JPY-2.48%+31.71%1.02%
5,706.00JPY+3.00%+12.37%1.01%
2,425.50JPY+3.37%+11.65%1.01%
1,628.00JPY+4.96%+5.54%1.01%
1,241.00JPY-1.70%+4.90%1.01%
3,729.00JPY+0.65%+6.12%1.01%
1,620.00JPY+1.79%+13.01%1.01%
2,812.50JPY+0.12%-9.51%1.01%
2,029.50JPY+0.64%+25.94%1.01%
2,082.00JPY-0.86%+3.81%1%
1,272.50JPY+0.08%-3.89%1%
2,909.00JPY+1.93%+23.89%1%
3,504.00JPY+0.20%+13.84%1%
3,227.00JPY-0.22%+8.07%1%
1,789.00JPY-0.06%+4.35%1%
945.90JPY-0.73%-2.18%1%
5,480.00JPY+2.53%+13.34%1%
5,472.00JPY+1.67%+4.43%1%
3,812.00JPY+1.90%+9.38%1%
3,015.00JPY+1.01%-6.71%1%
2,716.00JPY-1.75%+15.48%0.99%
1,193.00JPY+0.55%-7.59%0.99%
3,054.00JPY+1.16%+15.66%0.99%
266.10JPY+1.45%-8.43%0.99%
2,006.50JPY+1.59%+16.86%0.99%
2,665.00JPY+0.02%+1.14%0.99%
1,168.00JPY-2.87%+27.64%0.98%
3,546.00JPY-0.25%+1.37%0.98%
4,582.00JPY-0.37%-11.85%0.98%
698.60JPY+2.87%+34.48%0.98%
1,801.00JPY-0.74%-4.76%0.98%
3,655.00JPY-0.35%+15.55%0.98%
2,863.00JPY-5.26%+18.70%0.98%
2,003.00JPY+1.78%-9.33%0.98%
2,904.00JPY-0.10%-0.03%0.98%
4,666.00JPY+1.15%-1.29%0.98%
790.40JPY+1.07%-2.52%0.97%
12,785.00JPY-1.31%+19.60%0.97%
6,347.00JPY+2.45%+12.54%0.97%

Description

JP3048170009
Total Expense Ratio 0.35%
Asset Class Stocks
Size
Currency
Provider
Underlying MSCI Japan IMI Custom Liquidity and Yield Low Volatility Price Return Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
2015-11-29
Geographical Focus

Distribution

Retail investor

AuM evolution - 2026-02-26

AuM (JPY) 8.57B
AuM 1M 8.74B
AuM 3 months 8.73B
AuM 6 months 7.87B
AuM 12 months 6.84B
  1. Stock Market
  2. ETF
  3. 1399 ETF
  4. Components Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY