Components Vanguard FTSE Japan UCITS ETF - USD

ETF

VDJP

IE00B95PGT31

Delayed London S.E. 03:00:09 2024-05-02 am EDT 5-day change 1st Jan Change
35.91 USD +1.45% Intraday chart for Vanguard FTSE Japan UCITS ETF - USD -0.41% +4.09%

Composition of Vanguard FTSE Japan UCITS ETF - USD

Weight
5,486 JPY -0.31%+1.69%+6.30%0.10%
5,132 JPY +0.55%-0.87%+10.37%0.10%
1,200 JPY -0.70%-2.40%-15.34%0.09%
2,360 JPY +1.66%+3.58%-17.74%0.09%
2,500 JPY -0.46%-0.81%+5.95%0.09%
3,064 JPY -0.49%+2.72%+7.77%0.09%
2,590 JPY +1.57%-6.65%+22.72%0.09%
1,160 JPY +0.78%+1.00%+28.63%0.09%
8,017 JPY -0.63%-1.11%+0.04%0.09%
269,600 JPY +1.81%+2.70%+7.11%0.09%
2,240 JPY +1.84%-2.29%+45.99%0.09%
4,117 JPY -0.12%-4.98%+10.88%0.09%
2,790 JPY +0.54%-1.99%+23.95%0.09%
6,970 JPY -0.29%-0.14%+14.08%0.09%
4,146 JPY -0.55%-0.67%+24.62%0.09%
5,159 JPY -1.28%-3.46%+8.18%0.09%
335.8 JPY -2.84%-6.10%-2.38%0.09%
16,690 JPY -0.71%+2.99%+4.54%0.08%
3,833 JPY -0.49%-3.01%-13.65%0.08%
25,645 JPY +0.92%+2.70%+9.69%0.08%
3,425 JPY -0.67%-7.71%+21.89%0.08%
2,170 JPY -0.09%+1.26%+20.49%0.08%
1,003 JPY +1.77%+8.09%+7.09%0.08%
3,282 JPY -0.91%-0.09%+0.77%0.08%
2,088 JPY +0.63%+2.03%+9.98%0.08%
2,193 JPY +1.46%-0.45%-0.20%0.08%
2,996 JPY -0.15%-2.36%-2.08%0.08%
620 JPY +0.36%-3.06%+14.18%0.08%
9,896 JPY +0.12%-0.16%-23.44%0.08%
1,688 JPY -1.08%-0.30%+18.45%0.08%
2,902 JPY +0.87%-1.24%+15.87%0.08%
5,186 JPY +0.17%-1.11%+8.49%0.08%
1,618 JPY +1.54%+8.16%+58.47%0.08%
1,907 JPY +0.50%+3.30%+4.09%0.08%
4,707 JPY +0.53%+19.01%+83.87%0.08%
1,529 JPY +0.39%+1.39%+8.83%0.08%
2,122 JPY -1.00%+1.65%-9.16%0.08%
7,483 JPY -0.41%-0.72%+32.07%0.08%
1,714 JPY +2.51%-0.23%-2.61%0.08%
4,855 JPY +0.68%+1.78%+55.66%0.07%
3,604 JPY -2.78%+2.97%-3.38%0.07%
2,252 JPY +0.29%+0.54%+9.08%0.07%
3,398 JPY -0.96%-3.22%+9.37%0.07%
1,721 JPY +0.47%+2.53%+17.07%0.07%
1,334 JPY +1.91%+9.79%+39.12%0.07%
2,072 JPY +0.51%+1.49%-14.01%0.07%
2,050 JPY -0.05%-2.12%-9.39%0.07%
169,200 JPY +1.56%+0.83%+1.62%0.07%
15,285 JPY +0.23%+6.52%+38.58%0.07%
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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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