Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY Share Price

ETF

2552

JP3048910008

Market Closed - Japan Exchange 12:00:00 26/06/2026 pm IST 5-day change 1st Jan Change
1,962.00 JPY +0.67% Intraday chart for Amova Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type ETF (Mini) - JPY +2.99% -10.21%
Current month+0.56%
1 month+1.92%

Investment objective

This Fund invests in Real Estate Investment Trust (REIT) securities and structures its portfolio in accordance with the calculation method of the Tokyo Stock Exchange REIT Index, and in principle by maintaining such portfolio aims to keep the NAV of the fund closely linked with the movement of the Index. The Tokyo Stock Exchange (TSE) Real Estate Investment Trust (REIT) Index is a weighted aggregate market price type index for all Real Estate Investment Trusts (J-REIT) listed on the Tokyo Stock Exchange. The Index is calculated, with the base date set as March 31, 2003 (closing price). It assumes the aggregate market price on that day to be 1,000, by creating an Index for aggregate market price after the above base date.
Off-Hours Price
Change
YTD change
Weight
1,27,500.00JPY+1.59%-10.78%7.43%
1,18,000.00JPY+1.72%-9.85%5.79%
1,14,000.00JPY+1.42%-8.14%5.12%
1,53,100.00JPY+1.19%-11.55%4.52%
1,56,100.00JPY+1.23%-11.26%4.35%
1,40,300.00JPY+2.63%-5.78%3.98%
87,000.00JPY+1.05%-6.35%3.88%
1,22,100.00JPY+1.41%-14.73%3.52%
1,63,700.00JPY+1.68%-10.55%3.45%
98,100.00JPY+1.66%-7.71%3.44%
In partnership with
TrackInsight
Date Price Change Volume
26/26/26 JP¥1,962.00 +0.67% 2,128
25/26/25 JP¥1,949.00 +1.46% 2,169
24/26/24 JP¥1,921.00 +0.79% 1,474
23/26/23 JP¥1,906.00 +0.16% 980
22/26/22 JP¥1,903.00 -0.10% 2,466

Delayed Quote Japan Exchange

Last update June 26, 2026 at 12:00 pm IST

Description

JP3048910008
Total Expense Ratio 0.24%
Asset Class Stocks
Sector
Currency
Provider
Underlying TSE REIT Index - JPY
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
03/06/2019
Geographical Focus

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (JPY) 3.95TCr
AuM 1M 4.34TCr
AuM 3 months 4.98TCr
AuM 6 months 4.97TCr
AuM 12 months 5.36TCr
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