Components Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY

ETF

1319

JP3013190008

Market Closed - Fukuoka Stock Exchange 5-day change 1st Jan Change
- JPY -.--% Intraday chart for Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY -.--% -.--%

Composition of Nomura Nikkei 300 Index Exchange Traded Fund ETF - JPY

Weight
2,292 JPY +6.21%+6.98%+13.65%0.15%
1,760 JPY +0.86%+1.50%+44.26%0.15%
956 JPY +0.44%-1.73%+29.45%0.14%
338.4 JPY +1.74%+0.77%-1.63%0.14%
7,250 JPY +1.47%+7.23%+64.10%0.14%
7,817 JPY -2.24%+7.82%-20.22%0.14%
2,914 JPY +0.24%-0.46%-23.09%0.14%
9,734 JPY -0.95%+1.39%+60.39%0.13%
1,298 JPY +0.46%-1.89%+27.39%0.13%
6,748 JPY +8.14%+7.50%+22.25%0.13%
4,221 JPY +1.13%-2.40%+32.53%0.13%
3,970 JPY +5.00%+5.36%+25.16%0.13%
7,975 JPY +1.24%-0.52%-0.49%0.13%
4,514 JPY +0.67%+1.87%+21.12%0.13%
3,225 JPY +0.69%+1.26%+30.83%0.13%
1,768 JPY +1.35%-0.39%-17.83%0.13%
2,070 JPY +2.50%+2.42%-1.97%0.12%
2,591 JPY +8.36%+8.57%+22.53%0.12%
4,508 JPY 0.00%+1.51%+7.80%0.12%
1,298 JPY -0.76%-4.35%+19.81%0.12%
10,355 JPY +0.05%+0.39%+42.18%0.12%
4,889 JPY +0.62%+1.31%+16.88%0.12%
2,186 JPY +4.87%+5.25%+10.85%0.12%
2,870 JPY -1.48%+0.58%+2.63%0.12%
1,042 JPY +3.42%+3.89%+11.25%0.12%
852.3 JPY +1.48%+0.09%+32.22%0.12%
1,490 JPY +0.54%+1.46%+37.85%0.11%
1,817 JPY +1.34%+5.98%+3.21%0.11%
1,477 JPY +3.36%+1.27%+23.60%0.11%
2,316 JPY +1.16%+3.42%+50.98%0.11%
1,002 JPY +2.13%+6.40%+13.26%0.11%
2,714 JPY +1.12%+2.03%+38.47%0.11%
1,504 JPY -0.73%-3.96%-1.54%0.11%
1,324 JPY -1.56%+10.29%-6.63%0.11%
5,898 JPY +4.35%+10.04%+40.33%0.11%
4,856 JPY -0.35%-3.23%+45.00%0.10%
3,966 JPY -3.71%+4.56%+43.64%0.10%
2,094 JPY -0.71%-1.67%+24.27%0.10%
615.5 JPY -0.58%-0.73%+13.35%0.10%
13,405 JPY -1.36%+0.34%+60.58%0.10%
2,956 JPY +5.50%+5.95%+31.33%0.10%
4,189 JPY -0.10%+1.04%+25.91%0.09%
1,694 JPY +1.35%+3.51%+21.31%0.09%
2,091 JPY +0.53%+0.14%+10.14%0.09%
5,821 JPY +3.82%+19.90%+86.63%0.09%
4,289 JPY -0.37%-4.67%-5.36%0.09%
4,087 JPY +0.96%+0.71%+26.42%0.09%
2,394 JPY +0.55%+0.23%+1.23%0.09%
433.3 JPY +0.67%-3.37%-1.16%0.08%
61ac9651f22abdd.TpaPDWQnG0pm5_gJ25bdvTEsQ5t0k2wBzbgP-bBToWE.FNv4YDZsfjw8jMs4s-TtjVlhILYk6QFku-BqkIUk9CYA4vdlO3d1KCWliw

Description

JP3013190008
Total Expense Ratio 0.52%
Asset Class
Currency
Provider
Underlying Nikkei 300 Index - JPY

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
11/04/1995
Dividend Policy

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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