Components Vanguard FTSE Japan UCITS ETF Accumulating - USD

ETF

VJPA

IE00BFMXYX26

Delayed London S.E. 08:30:01 2024-04-30 am EDT 5-day change 1st Jan Change
32.32 USD +0.86% Intraday chart for Vanguard FTSE Japan UCITS ETF Accumulating - USD +0.96% +4.81%

Composition of Vanguard FTSE Japan UCITS ETF Accumulating - USD

Weight
6,094 JPY +0.69%+1.52%-22.02%0.14%
3,086 JPY +0.92%-0.48%-2.56%0.14%
5,772 JPY +3.52%+7.79%+19.70%0.14%
1,762 JPY +2.44%+2.09%+44.43%0.14%
2,087 JPY +0.92%+1.88%-19.90%0.14%
3,262 JPY +2.87%+4.12%+14.36%0.14%
2,622 JPY +0.08%+5.51%+15.08%0.13%
4,055 JPY -1.00%-4.57%-9.32%0.13%
536,000 JPY -0.19%-1.29%-8.22%0.13%
3,852 JPY -0.10%+1.58%+21.44%0.13%
1,024 JPY +1.19%+0.59%+8.10%0.13%
9,872 JPY -0.30%+2.19%+62.66%0.13%
6,760 JPY +0.76%+1.56%+53.01%0.13%
13,110 JPY +1.47%+3.88%+57.04%0.13%
3,135 JPY -0.73%-4.45%-17.26%0.13%
5,811 JPY +1.77%+4.14%+0.19%0.12%
4,269 JPY +1.19%+0.95%+17.99%0.12%
150,800 JPY +0.67%-0.72%-8.61%0.12%
5,402 JPY -1.35%-3.35%-1.89%0.12%
6,135 JPY -0.16%+0.85%-16.97%0.12%
851.7 JPY +0.70%+2.48%+32.13%0.12%
2,384 JPY +0.02%+4.56%+12.75%0.12%
4,504 JPY +2.76%+3.35%+7.70%0.12%
3,376 JPY +1.17%+2.09%+8.66%0.12%
9,554 JPY +1.04%+2.87%+29.41%0.12%
4,059 JPY +3.15%+4.91%+27.44%0.12%
4,333 JPY +0.05%-0.07%+7.79%0.12%
95,400 JPY +0.95%0.00%-6.38%0.12%
4,705 JPY +3.47%+8.11%+24.60%0.11%
2,302 JPY +3.30%+3.35%+13.23%0.11%
272,600 JPY +0.37%+1.41%+0.44%0.11%
3,372 JPY +1.11%+3.98%-31.89%0.11%
1,775 JPY +1.02%-2.85%-17.48%0.11%
9,841 JPY +3.11%+6.97%+35.18%0.11%
2,583 JPY +7.29%+14.47%+8.10%0.11%
128,500 JPY -0.39%-1.00%-8.54%0.11%
3,511 JPY +1.95%+2.78%+30.57%0.11%
5,172 JPY +2.09%+3.09%+54.43%0.11%
1,366 JPY +2.09%+1.41%+26.18%0.10%
2,816 JPY +1.97%+1.72%+28.20%0.10%
155,900 JPY +1.76%-1.52%-3.05%0.10%
1,335 JPY +0.04%+1.44%+31.08%0.10%
1,458 JPY -0.31%-2.57%-1.25%0.10%
6,295 JPY +1.58%+6.77%+14.04%0.10%
2,649 JPY +0.72%-0.24%+11.77%0.10%
1,934 JPY +1.76%+1.20%+5.97%0.10%
3,148 JPY +1.38%+0.19%+8.31%0.10%
4,427 JPY +2.00%+3.24%-5.12%0.10%
4,885 JPY +3.12%+5.69%+16.23%0.10%
3,425 JPY -0.12%+0.26%-17.79%0.10%
d221093391bdb091c17995205897d6.PemHe2NRONGPF1jfboOv_Aea56FoVyZpmb-aMypc-GA.UJm2ESALT7K7XD6sXe7qsH6olfkQGGRczM7LV0stnxMEutceBCUKle5vbA

ETF Ratings

Description

IE00BFMXYX26
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
2019-09-23
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 740 M€
AuM 1M 663 M€
AuM 3 months 523 M€
AuM 6 months 369 M€
AuM 12 months 245 M€
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