Components Vanguard FTSE Japan UCITS ETF - USD

ETF

VJPN

IE00B95PGT31

End-of-day quote Berne S.E. 5-day change 1st Jan Change
- CHF -.--% Intraday chart for Vanguard FTSE Japan UCITS ETF - USD -.--% -.--%

Composition of Vanguard FTSE Japan UCITS ETF - USD

Weight
3,206 JPY -1.48%-0.47%+23.64%6.16%
1,617 JPY -0.95%-1.58%+33.47%2.49%
13,205 JPY -1.01%-1.67%-1.49%2.29%
35,380 JPY -0.51%+5.43%+40.01%2.19%
3,211 JPY -1.95%-1.02%+42.45%1.94%
68,850 JPY -2.26%-1.68%+10.83%1.93%
16,990 JPY -0.41%+6.42%+67.01%1.83%
6,092 JPY -1.63%+2.46%+2.96%1.67%
10,170 JPY -1.07%+0.79%+47.82%1.59%
7,552 JPY -1.22%-1.81%+42.51%1.58%
5,605 JPY -2.86%+0.47%+44.65%1.43%
7,775 JPY -2.14%-1.01%+30.44%1.39%
7,384 JPY +0.54%+1.23%+27.99%1.34%
5,594 JPY -0.85%+4.36%+58.54%1.31%
1,700 JPY -0.50%+1.86%+15.89%1.23%
8,598 JPY -0.89%-1.79%+16.80%1.14%
3,108 JPY -1.05%-0.58%+28.79%1.10%
9,765 JPY +0.99%+3.68%+55.20%1.09%
4,286 JPY -0.21%0.00%-4.50%0.96%
40,890 JPY -1.94%+0.39%+16.89%0.91%
4,159 JPY -1.42%-1.33%+2.59%0.90%
18,710 JPY -2.14%-1.16%+6.13%0.90%
22,495 JPY -1.14%-2.89%-2.13%0.82%
2,454 JPY -1.51%-0.67%+15.35%0.78%
2,629 JPY +0.67%-1.61%+31.47%0.76%
1,996 JPY +2.18%+3.05%+13.47%0.74%
4,564 JPY -0.15%+0.29%+25.19%0.71%
3,082 JPY +1.48%+2.15%+3.01%0.69%
148.8 JPY -0.93%-2.36%-13.58%0.68%
2,028 JPY -1.12%-1.60%+8.66%0.67%
4,385 JPY -0.45%-4.22%-16.49%0.67%
77,380 JPY -1.65%+0.36%+2.14%0.66%
2,986 JPY -0.71%+1.67%+33.95%0.65%
4,028 JPY -1.01%+0.88%+30.88%0.64%
4,381 JPY +0.34%+0.57%+5.57%0.63%
4,546 JPY -2.03%+0.13%+23.24%0.62%
2,417 JPY -1.79%+2.52%+13.75%0.61%
1,500 JPY -0.79%-1.35%+30.13%0.61%
1,423 JPY -1.45%+3.34%+72.73%0.57%
4,530 JPY -1.07%+0.67%+25.17%0.57%
6,692 JPY -0.30%+0.15%+14.47%0.55%
2,706 JPY -2.15%+0.82%+17.05%0.55%
7,056 JPY -0.23%-4.03%+23.83%0.54%
2,986 JPY -0.52%+2.17%+17.14%0.54%
3,172 JPY -0.22%+0.89%+71.47%0.54%
60,750 JPY +0.60%+6.15%+73.67%0.54%
3,430 JPY -1.41%+0.09%+29.14%0.53%
5,470 JPY +0.70%+3.98%+13.74%0.52%
3,716 JPY -0.54%+2.99%+31.54%0.51%
4,127 JPY +0.10%+3.93%+38.03%0.48%
443f3990794f259e.TyNiRBK1NmtPKUQ8EarkcRMpz5FmUcF3yPCGx_I94SI.enAELCDQZA0pRyBxY5-uAUtrvuYoB5Qu8bHZit9QtUcKfAcuV99gBAwRAQ

ETF Ratings

Description

IE00B95PGT31
Total Expense Ratio 0.15%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Japan Net Tax Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
20/05/2013
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 2,228 M€
AuM 1M 2,381 M€
AuM 3 months 2,329 M€
AuM 6 months 1,999 M€
AuM 12 months 1,773 M€
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