Components Amova Listed Index Fund Japan High Dividend (TSE Dividend Focus 100) ETF - JPY

ETF

1698

JP3047170000

Delayed Japan Exchange 05:30:00 22/07/2026 +03 5-day change 1st Jan Change
4,278.00 JPY +0.49% Intraday chart for Amova Listed Index Fund Japan High Dividend (TSE Dividend Focus 100) ETF - JPY +1.98% +13.11%

Components: Amova Listed Index Fund Japan High Dividend (TSE Dividend Focus 100) ETF - JPY

6,330.00JPY-1.48%+12.23%8.42%
7,352.00JPY-0.61%-10.81%6.5%
2,924.00JPY-0.70%-12.87%6.32%
3,675.00JPY+2.65%+47.41%6.08%
4,504.00JPY+0.09%-2.78%5.78%
3,734.00JPY-1.16%+6.26%5.12%
7,116.00JPY+2.37%+41.16%3.99%
3,595.00JPY+0.42%+14.97%3.26%
8,613.00JPY+3.75%+51.11%2.79%
4,875.00JPY+4.52%+35.95%2.77%
4,887.00JPY+1.31%+5.26%2.73%
2,875.00JPY-1.59%+22.44%2.47%
134,200.00JPY-0.67%-6.09%1.92%
5,531.00JPY-0.43%+14.40%1.81%
219.40JPY-1.22%+2.14%1.45%
121,900.00JPY-1.14%-6.88%1.44%
1,603.00JPY+1.87%+18.48%1.36%
117,400.00JPY-0.51%-5.40%1.35%
1,559.00JPY+0.13%+1.50%1.29%
6,446.00JPY+3.02%+24.13%1.23%
154,700.00JPY-0.64%-10.63%1.23%
1,297.50JPY+0.31%+11.90%1.13%
4,806.00JPY+1.39%+30.49%1.08%
6,615.00JPY+1.74%+45.26%1.03%
1,796.00JPY-1.62%+4.75%1%
1,333.00JPY-1.37%-16.92%0.98%
3,336.00JPY-3.72%+0.36%0.95%
6,460.00JPY+0.65%+29.20%0.9%
1,886.00JPY+0.45%+44.69%0.89%
1,614.00JPY+1.73%+24.06%0.84%
3,470.00JPY-1.39%-2.14%0.78%
61,700.00JPY+0.16%-4.19%0.73%
2,167.50JPY-1.32%+3.56%0.71%
3,446.00JPY+2.93%+56.00%0.69%
2,449.00JPY+1.26%+48.38%0.68%
6,864.00JPY+1.93%+43.69%0.66%
1,313.50JPY+1.00%+18.65%0.66%
97,000.00JPY-0.92%-8.23%0.65%
598.90JPY+0.05%-6.68%0.64%
82,400.00JPY+0.12%+0.73%0.63%
4,060.00JPY-1.55%-6.34%0.61%
5,304.00JPY+4.39%+27.84%0.58%
2,223.50JPY-1.66%-7.87%0.56%
7,319.00JPY+6.77%+82.66%0.56%
5,792.00JPY+2.73%-5.90%0.49%
3,250.00JPY+0.25%-0.58%0.43%
99,000.00JPY-0.70%-13.23%0.42%
5,783.00JPY+0.64%+13.88%0.4%
82,500.00JPY-0.48%-11.29%0.39%
1,867.00JPY+0.27%+34.41%0.38%

Description

JP3047170000
Total Expense Ratio 0.28%
Asset Class Stocks
Currency
Provider
Underlying TSE Dividend Focus 100 Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
13/05/2010
Geographical Focus

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (JPY) 55.27B
AuM 1M 55.52B
AuM 3 months 54.38B
AuM 6 months 52.97B
AuM 12 months 53.67B
  1. Stock Market
  2. ETF
  3. 1698 ETF
  4. Components Amova Listed Index Fund Japan High Dividend (TSE Dividend Focus 100) ETF - JPY