Components UBS ETF MSCI Japan UCITS ETF - JPY

ETF

JPNA

LU0950671825

Market Closed - Borsa Italiana 16:44:59 23/05/2024 BST 5-day change 1st Jan Change
21.34 EUR 0.00% Intraday chart for UBS ETF  MSCI Japan UCITS ETF - JPY -0.63% +8.70%

Composition of UBS ETF MSCI Japan UCITS ETF - JPY

Weight
3,403 JPY +0.44%+1.52%+31.36%5.39%
12,885 JPY +0.59%-1.00%-3.91%3.32%
1,564 JPY +0.64%+2.69%+29.05%2.71%
72,890 JPY +1.36%-0.37%+17.34%2.37%
36,830 JPY +1.80%+0.03%+45.83%2.34%
5,952 JPY +2.06%+0.37%+0.59%2.11%
15,155 JPY +2.29%+5.90%+49.02%1.85%
9,790 JPY -0.34%+4.15%+42.30%1.72%
7,770 JPY +1.09%+0.78%+30.30%1.69%
3,331 JPY -0.45%-1.33%+47.81%1.53%
8,281 JPY -0.84%-3.71%+12.53%1.50%
5,377 JPY -0.90%-1.92%+38.87%1.40%
7,262 JPY -0.56%-0.04%+25.92%1.34%
8,222 JPY -0.24%+4.41%+55.19%1.34%
1,732 JPY +0.20%+1.35%+18.11%1.33%
4,328 JPY -0.51%+0.19%-3.52%1.32%
8,730 JPY +4.28%+2.24%+38.73%1.27%
4,134 JPY +0.78%-0.10%+1.97%1.26%
5,203 JPY +1.15%+5.24%+47.44%1.25%
18,695 JPY +1.96%-3.08%+6.07%1.22%
41,120 JPY +1.08%-0.63%+17.52%1.20%
24,220 JPY +1.09%-3.97%+5.37%1.19%
3,151 JPY +0.70%+2.74%+30.61%1.14%
4,587 JPY -0.52%+0.48%-12.65%1.12%
152.8 JPY -1.10%-0.78%-11.32%1.01%
2,985 JPY +1.00%+5.96%-0.27%1.01%
1,898 JPY -0.68%-1.58%+7.87%0.99%
4,446 JPY +0.36%+1.00%+21.98%0.86%
82,890 JPY +0.81%+1.94%+9.41%0.85%
2,030 JPY 0.00%+0.35%+8.85%0.83%
2,556 JPY -0.27%-2.83%+20.17%0.79%
4,628 JPY +1.71%+0.39%+11.60%0.77%
2,809 JPY +2.00%-0.48%+40.52%0.75%
2,849 JPY +5.48%+6.80%+11.77%0.73%
2,354 JPY +1.38%+0.90%+10.62%0.73%
5,853 JPY +5.36%+6.09%+22.01%0.72%
4,429 JPY +1.82%+2.03%+22.35%0.71%
4,787 JPY -1.22%-3.60%-10.39%0.70%
4,664 JPY +1.11%+0.89%+26.46%0.67%
6,842 JPY +0.21%-0.48%+17.16%0.66%
62,260 JPY +7.96%+10.90%+77.99%0.63%
4,091 JPY +0.10%-0.97%+33.00%0.63%
3,082 JPY +0.72%+2.56%+38.30%0.63%
3,431 JPY +0.09%+0.50%+21.48%0.62%
3,352 JPY -0.62%-1.03%+26.20%0.61%
1,356 JPY +1.27%+2.53%-2.90%0.61%
2,678 JPY +1.63%-4.20%+15.86%0.61%
1,561 JPY +2.56%+3.14%-7.41%0.60%
1,417 JPY +0.07%-1.73%+22.93%0.60%
3,916 JPY +1.45%+6.79%+30.88%0.55%
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ETF Ratings

Description

LU0950671825
Total Expense Ratio 0.12%
Asset Class
Sector
Size
Currency
Provider
Underlying MSCI Japan Total Return Net - JPY

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
12/07/2017
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 1,652 M€
AuM 1M 1,653 M€
AuM 3 months 1,433 M€
AuM 6 months 1,018 M€
AuM 12 months 1,344 M€
  1. Stock Market
  2. ETF
  3. JPNA ETF
  4. Components UBS ETF MSCI Japan UCITS ETF - JPY