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

ETF

1399

JP3048170009

Delayed Japan Exchange 05:47:34 17/07/2026 BST 5-day change 1st Jan Change
3,071.00 JPY -0.26% Intraday chart for Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY +1.02% +12.49%

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

5,572.00JPY+0.91%+18.28%1.07%
2,649.50JPY+0.15%+4.77%1.06%
6,074.00JPY-5.42%+16.89%1.03%
26,265.00JPY-3.88%+51.46%1.03%
1,575.50JPY+2.11%-17.32%1.03%
2,560.50JPY-2.38%-1.60%1.03%
5,373.00JPY-1.01%+60.34%1.02%
2,135.00JPY-0.61%+1.91%1.02%
5,139.00JPY-2.56%+12.82%1.02%
7,517.00JPY-4.65%+40.18%1.02%
5,502.00JPY-4.55%-10.53%1.02%
1,817.50JPY-3.12%+30.89%1.02%
5,686.00JPY+2.64%+11.91%1.01%
2,404.00JPY+2.45%+10.66%1.01%
1,606.00JPY+3.55%+3.92%1.01%
1,246.00JPY-1.31%+5.28%1.01%
3,733.00JPY+0.76%+6.20%1.01%
1,620.50JPY+1.82%+12.98%1.01%
2,807.00JPY-0.07%-9.68%1.01%
2,033.50JPY+0.84%+26.22%1.01%
2,067.50JPY-1.55%+3.27%1%
1,268.00JPY-0.28%-4.23%1%
2,917.00JPY+2.21%+24.17%1%
3,470.00JPY-0.77%+12.64%1%
3,253.00JPY+0.59%+8.91%1%
1,793.00JPY+0.17%+4.58%1%
949.00JPY-0.41%-1.90%1%
5,455.00JPY+2.06%+12.80%1%
5,487.00JPY+1.95%+4.71%1%
3,819.00JPY+2.09%+9.53%1%
3,021.00JPY+1.21%-6.53%1%
2,692.50JPY-2.60%+14.48%0.99%
1,199.50JPY+1.10%-7.09%0.99%
3,052.00JPY+1.09%+15.51%0.99%
265.10JPY+1.07%-8.77%0.99%
2,007.50JPY+1.65%+16.89%0.99%
2,646.50JPY-0.68%+0.38%0.99%
1,157.50JPY-3.74%+26.32%0.98%
3,542.00JPY-0.37%+1.26%0.98%
4,616.00JPY+0.37%-11.27%0.98%
707.20JPY+4.14%+36.23%0.98%
1,790.50JPY-1.32%-5.34%0.98%
3,631.00JPY-1.01%+14.83%0.98%
2,878.00JPY-4.77%+19.34%0.98%
2,009.50JPY+2.11%-9.03%0.98%
2,897.00JPY-0.34%-0.34%0.98%
4,698.00JPY+1.84%-0.72%0.98%
790.90JPY+1.14%-2.53%0.97%
12,610.00JPY-2.66%+17.96%0.97%
6,321.00JPY+2.03%+11.99%0.97%

Description

JP3048170009
Total Expense Ratio 0.35%
Asset Class Stocks
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
29/11/2015
Geographical Focus

Distribution

Retail investor

AuM evolution - 26/02/2026

AuM (JPY) 8.57B
AuM 1M 8.74B
AuM 3 months 8.73B
AuM 6 months 7.87B
AuM 12 months 6.84B
  1. Stock Market
  2. ETF
  3. 1399 ETF
  4. Components Amova Listed Index Fund MSCI Japan High Dividend Low Volatility ETF - JPY