Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY Stock

ETF

1480

JP3048230001

Market Closed - Japan Exchange 11:30:00 2024-05-08 pm EDT 5-day change 1st Jan Change
27,555 JPY -1.94% Intraday chart for Nomura NEXT FUNDS Nomura Enterprise Value Allocation Index ETF - JPY -1.94% +16.56%
Current month-0.16%
1 month-0.45%
Dynamic Chart

Investment objective

The Fund aims to track the performance of the Nomura Enterprise Value Allocation Index by investing all, or substantially all of its assets, in stocks that are included, or are due to be included, in the Nomura Enterprise Value Allocation Index. Individual stocks that comprise the Fund will be held in proportions approximately equivalent to the ratio calculated based on the calculation rules of the Nomura Enterprise Value Allocation Index. The Nomura Enterprise Value Allocation Index is a stock price index comprising common stocks that are listed on Japan's financial securities exchanges. Constituent stocks are selected using quantitative methods and based on criteria including profits, dividends, labor costs, capital expenditure, research & development costs and others. The Base Date for index calculation is August 17, 2001 with a base value of 10,000.
Name
Price
Change
5d. change
1st Jan change
Weight
162.3 JPY -3.34%-4.75%-5.80%3.02%
70,160 JPY +0.73%+1.15%+12.94%2.82%
3,425 JPY -2.92%-4.36%+32.21%2.77%
4,310 JPY +0.63%-2.53%-3.92%2.18%
7,849 JPY +3.32%+3.62%+6.66%2.16%
5,385 JPY +3.60%-2.13%+39.08%2.13%
14,450 JPY +2.01%-0.03%+42.08%1.94%
6,936 JPY -0.44%+1.49%+16.32%1.85%
35,000 JPY -0.60%-0.03%+38.59%1.85%
24,685 JPY +8.15%+11.75%+7.40%1.72%
See all (272)
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Date Price Change Volume
24-05-09 27,555 -1.94% 11
24-05-02 28,100 +1.81% 1

Delayed Quote Japan Exchange

Last update May 08, 2024 at 11:30 pm EDT

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Description

JP3048230001
Total Expense Ratio 0.23%
Asset Class
Currency
Provider
Underlying Nomura Enterprise Value Allocation Index - JPY

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-05-18
Dividend Policy

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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