Components Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF - JPY

ETF

1345

JP3047030006

Market Closed - Japan Exchange 07:30:00 10/07/2026 BST 5-day change 1st Jan Change
1,846.00 JPY -0.59% Intraday chart for Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF - JPY -1.18% -10.21%

Components: Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF - JPY

129,800.00JPY-0.23%-9.17%7.37%
118,500.00JPY-1.09%-9.47%5.61%
114,000.00JPY0.00%-8.14%5.31%
151,800.00JPY-0.52%-12.31%4.47%
155,700.00JPY-0.06%-11.48%4.16%
87,700.00JPY+0.11%-5.60%3.96%
139,200.00JPY-0.64%-6.51%3.87%
161,400.00JPY-0.49%-11.80%3.59%
97,700.00JPY-0.81%-8.09%3.48%
121,200.00JPY-0.41%-15.36%3.48%
60,500.00JPY-0.33%-6.06%3.07%
150,500.00JPY-0.40%-12.19%2.97%
79,100.00JPY-0.13%-3.30%2.62%
94,200.00JPY-0.63%-10.88%2.48%
76,400.00JPY-0.65%-15.11%2.33%
142,900.00JPY-0.63%-7.33%2.33%
108,900.00JPY-0.37%-10.81%2.18%
122,700.00JPY-0.97%-8.71%2%
136,900.00JPY-0.29%-2.77%1.94%
96,500.00JPY0.00%-7.30%1.73%
146,500.00JPY-0.68%-7.63%1.68%
129,500.00JPY-0.38%-13.09%1.43%
105,100.00JPY+0.10%-5.46%1.43%
97,900.00JPY-1.21%-14.20%1.43%
124,700.00JPY0.00%-9.18%1.39%
81,400.00JPY+0.37%-12.47%1.32%
156,000.00JPY-0.45%-11.61%1.28%
74,800.00JPY-0.13%-4.23%1.26%
328,500.00JPY-0.45%-12.28%1.24%
134,800.00JPY-0.81%-3.99%1.23%
188,800.00JPY-0.58%-8.84%1.17%
120,800.00JPY-0.17%-9.10%1.11%
139,200.00JPY-0.22%-6.58%1.07%
134,300.00JPY-0.59%-14.57%1.01%
83,200.00JPY-0.83%-15.79%1%
55,600.00JPY-0.18%-9.89%0.94%
238,600.00JPY-0.08%-8.65%0.91%
175,200.00JPY+0.11%-6.91%0.88%
111,000.00JPY-0.54%-19.45%0.83%
139,600.00JPY-0.57%-16.06%0.64%
92,600.00JPY-0.11%-4.83%0.6%
41,950.00JPY+0.12%-16.77%0.59%
142,100.00JPY-0.14%-15.72%0.58%
112,400.00JPY-0.35%-11.01%0.54%
83,000.00JPY-0.24%-11.23%0.49%
75,600.00JPY-0.40%-16.83%0.37%
114,000.00JPY+0.18%+9.72%0.34%
187,900.00JPY-1.98%-6.84%0.3%
110,600.00JPY+0.36%-6.03%0.28%
133,000.00JPY-0.67%-8.97%0.27%

Description

JP3047030006
Total Expense Ratio 0.30%
Asset Class Stocks
Sector
Currency
Provider
Underlying TSE REIT Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
29/10/2008
Geographical Focus

Distribution

Retail investor

AuM evolution - 26/02/2026

AuM (JPY) 197B
AuM 1M 192B
AuM 3 months 202B
AuM 6 months 208B
AuM 12 months 197B
  1. Stock Market
  2. ETF
  3. 1345 ETF
  4. Components Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF - JPY