Components Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

ETF

1399

JP3048170009

Market Closed - 09:30:00 02/09/2026 +03 5-day change 1st Jan Change
3,252.00 JPY -4.01% Intraday chart for Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY +0.37% +19.12%

Components: Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY

7,038.00JPY-0.13%+49.43%1.07%
2,390.00JPY-11.05%-5.42%1.06%
5,653.00JPY-3.45%+8.86%1.03%
25,035.00JPY-3.45%+44.75%1.03%
1,687.50JPY-2.91%-11.44%1.03%
2,625.00JPY-2.31%+1.00%1.03%
5,590.00JPY-4.71%+66.82%1.02%
2,389.50JPY-1.04%+14.17%1.02%
5,416.00JPY-2.41%+18.93%1.02%
7,968.00JPY-4.29%+48.57%1.02%
4,621.00JPY-4.92%-24.92%1.02%
1,649.00JPY-2.34%+18.72%1.02%
7,097.00JPY+0.07%+39.76%1.01%
2,470.00JPY-0.62%+13.69%1.01%
1,907.00JPY-3.05%+23.63%1.01%
1,462.00JPY-1.38%+23.58%1.01%
4,098.00JPY-1.63%+16.62%1.01%
1,472.00JPY-3.06%+2.69%1.01%
2,902.50JPY-2.04%-6.61%1.01%
2,097.00JPY-1.08%+30.13%1.01%
2,657.00JPY-2.80%+32.49%1%
1,263.00JPY-2.02%-4.61%1%
2,974.50JPY-2.83%+26.68%1%
3,637.00JPY-1.41%+18.16%1%
3,319.00JPY-1.37%+11.15%1%
1,771.00JPY-1.53%+3.30%1%
929.90JPY-1.94%-3.84%1%
5,824.00JPY-0.36%+20.46%1%
5,748.00JPY-1.96%+9.69%1%
4,520.00JPY-0.53%+29.70%1%
3,584.00JPY-2.48%+10.89%1%
2,682.00JPY-1.61%+14.03%0.99%
1,130.50JPY-3.50%-12.43%0.99%
2,976.50JPY-0.88%+12.72%0.99%
297.00JPY-2.40%+2.20%0.99%
1,982.00JPY-1.83%+15.43%0.99%
2,601.00JPY-2.93%-1.29%0.99%
1,267.50JPY+0.08%+38.51%0.98%
3,411.00JPY-1.70%-2.49%0.98%
4,750.00JPY+0.13%-8.62%0.98%
704.20JPY-1.65%+35.55%0.98%
1,920.50JPY-1.97%+1.56%0.98%
4,157.00JPY-1.77%+31.43%0.98%
2,888.00JPY-3.70%+19.73%0.98%
1,915.00JPY-2.67%-13.31%0.98%
2,927.00JPY-3.24%+0.76%0.98%
4,580.00JPY+1.17%-3.11%0.98%
786.50JPY+0.01%-3.00%0.97%
12,410.00JPY-1.82%+16.09%0.97%
7,003.00JPY-0.67%+24.17%0.97%


Description

JP3048170009
Total Expense Ratio 0.0035
Asset Class Stocks
Geographical Zones
Size
Currency
Provider
Underlying MSCI Japan IMI Custom Liquidity and Yield Low Volatility Price Return Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
30/11/2015
Geographical Focus

Distribution

Retail investor

AuM evolution - 12/08/2026

AuM (JPY) 9.96B
AuM 1M 9.96B
AuM 3 months 9.96B
AuM 6 months 9.96B
AuM 12 months 9.96B
  1. Stock Market
  2. ETF
  3. 1399 ETF
  4. Components Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY