Components Vanguard FTSE Japan UCITS ETF Accumulating - USD

ETF

VJPA

IE00BFMXYX26

Delayed London S.E. 11:34:29 30/04/2024 BST 5-day change 1st Jan Change
32.32 USD +0.87% Intraday chart for Vanguard FTSE Japan UCITS ETF Accumulating - USD +0.96% +4.81%

Composition of Vanguard FTSE Japan UCITS ETF Accumulating - USD

Weight
3,638 JPY +3.65%+3.62%+40.44%5.14%
13,085 JPY +2.47%+4.72%-2.42%2.75%
1,580 JPY +1.74%+1.61%+30.38%2.34%
70,300 JPY +0.99%+9.21%+13.17%2.01%
6,195 JPY +4.89%-0.21%+4.70%1.88%
35,120 JPY +2.60%+8.06%+39.06%1.84%
14,620 JPY +8.50%+10.63%+43.76%1.50%
8,980 JPY +2.20%+2.20%+30.52%1.46%
6,902 JPY +3.93%+9.30%+15.75%1.44%
7,639 JPY +1.60%+4.70%+44.19%1.31%
7,720 JPY +0.93%+2.96%+4.91%1.27%
7,136 JPY +3.45%+7.15%+23.74%1.27%
3,620 JPY +2.58%+3.55%+60.64%1.27%
5,364 JPY +7.07%+15.03%+38.53%1.21%
1,812 JPY +3.51%+2.69%+23.60%1.18%
4,400 JPY +0.46%+0.34%-1.92%1.15%
4,991 JPY +1.82%+3.78%+41.43%1.09%
4,153 JPY +1.57%+0.75%+2.44%1.03%
3,052 JPY +1.80%+0.73%+26.51%1.02%
21,745 JPY +2.76%+9.00%-5.39%1.01%
7,915 JPY +1.71%+5.28%+25.77%1.01%
18,470 JPY +0.71%+5.27%+4.79%1.00%
41,550 JPY +0.39%-1.49%+18.75%0.90%
2,904 JPY +1.27%+5.62%-2.99%0.84%
4,362 JPY -6.27%-7.27%-16.93%0.82%
170.8 JPY +1.55%-0.35%-0.87%0.81%
1,911 JPY +1.73%+3.38%+8.61%0.81%
2,692 JPY -2.38%-3.27%+26.54%0.72%
4,245 JPY +1.63%+1.68%+16.46%0.72%
2,040 JPY +0.02%+0.39%+9.38%0.72%
83,520 JPY +3.46%+7.50%+10.24%0.70%
4,627 JPY +2.19%+5.16%+11.57%0.66%
2,773 JPY +15.88%+14.35%+38.72%0.65%
2,436 JPY +0.41%-1.32%+14.48%0.63%
4,996 JPY -7.29%-4.75%+4.15%0.59%
5,050 JPY +4.08%-2.60%-5.47%0.58%
2,824 JPY +4.36%+6.29%+26.72%0.57%
4,280 JPY +1.57%-3.58%+18.23%0.57%
4,755 JPY +11.52%+6.61%+28.93%0.56%
2,628 JPY +3.50%+15.23%+3.12%0.56%
4,155 JPY +6.29%+9.28%+35.08%0.56%
2,694 JPY +3.18%+2.81%+16.55%0.55%
6,979 JPY +3.78%+3.48%+19.50%0.54%
3,617 JPY +1.43%-0.99%+0.92%0.54%
3,241 JPY +1.66%+1.38%+22.03%0.51%
1,613 JPY +2.77%+2.28%+39.94%0.51%
1,514 JPY +0.53%+1.51%-10.20%0.50%
3,377 JPY +1.47%+1.69%+19.57%0.50%
1,382 JPY +3.29%+1.17%-1.04%0.49%
7,373 JPY +3.63%+9.31%+29.46%0.49%
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ETF Ratings

Description

IE00BFMXYX26
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
23/09/2019
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 740 M€
AuM 1M 663 M€
AuM 3 months 523 M€
AuM 6 months 369 M€
AuM 12 months 245 M€
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