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
5,451 JPY +0.85%+1.04%+5.62%0.10%
5,126 JPY +1.73%-0.99%+10.24%0.10%
1,206 JPY -0.66%-1.95%-14.95%0.09%
2,329 JPY +3.65%+2.24%-18.81%0.09%
2,556 JPY +3.25%+1.39%+8.31%0.09%
3,083 JPY +1.55%+3.35%+8.44%0.09%
2,604 JPY -4.86%-6.15%+23.38%0.09%
1,160 JPY +0.91%+1.09%+28.74%0.09%
8,066 JPY -0.70%-0.51%+0.65%0.09%
265,100 JPY +1.30%+0.99%+5.32%0.09%
2,222 JPY -0.74%-3.03%+44.88%0.09%
4,294 JPY -0.99%-0.90%+15.65%0.09%
2,802 JPY +0.21%-1.55%+24.51%0.09%
6,940 JPY +1.02%-0.57%+13.58%0.09%
4,197 JPY +0.29%+0.55%+26.15%0.09%
5,286 JPY +0.69%-1.09%+10.84%0.09%
337.3 JPY -4.80%-5.68%-1.95%0.09%
16,775 JPY +0.45%+3.52%+5.07%0.08%
3,863 JPY +0.13%-2.25%-12.98%0.08%
25,730 JPY +3.27%+3.04%+10.05%0.08%
3,426 JPY +1.30%-7.68%+21.92%0.08%
2,180 JPY +0.21%+1.70%+21.02%0.08%
977.5 JPY +2.73%+5.35%+4.37%0.08%
3,337 JPY +2.33%+1.58%+2.46%0.08%
2,056 JPY +0.10%+0.46%+8.30%0.08%
2,126 JPY +2.53%-3.50%-3.25%0.08%
3,000 JPY -1.96%-2.25%-1.96%0.08%
618.7 JPY -3.07%-3.27%+13.94%0.08%
9,967 JPY +0.73%+0.55%-22.89%0.08%
1,746 JPY +1.48%+3.10%+22.48%0.08%
2,952 JPY -0.27%+0.46%+17.87%0.08%
5,185 JPY +0.56%-1.13%+8.47%0.08%
1,466 JPY +2.88%-1.97%+43.63%0.08%
1,904 JPY +1.22%+3.17%+3.96%0.08%
4,691 JPY +8.92%+18.61%+83.24%0.08%
1,524 JPY +0.79%+1.09%+8.51%0.08%
2,123 JPY +1.60%+1.72%-9.09%0.08%
7,569 JPY +0.32%+0.42%+33.59%0.08%
1,697 JPY +0.77%-1.25%-3.61%0.08%
4,897 JPY +3.90%+2.66%+57.01%0.07%
3,732 JPY +1.61%+6.63%+0.05%0.07%
2,250 JPY -0.55%+0.40%+8.93%0.07%
3,389 JPY -1.37%-3.47%+9.08%0.07%
1,728 JPY +0.38%+2.92%+17.52%0.07%
1,218 JPY +3.83%+0.29%+27.07%0.07%
2,065 JPY +0.24%+1.18%-14.28%0.07%
2,058 JPY -0.77%-1.79%-9.08%0.07%
166,500 JPY -0.95%-0.77%0.00%0.07%
15,500 JPY +4.84%+8.01%+40.53%0.07%
e365507.5v8RDRmlfnfI-gS4N3MKKO1BEr3EWmd8ph_HEi800Hw.15t9NXLLSz6tiWXJRzpfQ48jf82bBR8GlCmtZ1pdmy2HqH89LOg6RoWCUQ

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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