Market Closed -
Other stock markets
|
5-day change | 1st Jan Change | ||
200.6 USD | 0.00% | +1.15% | +6.89% |
1 month | -2.37% | ||
3 months | +1.82% |
Quotes 5-day view
Delayed Quote London S.E.26/04/2024 | 29/04/2024 | 30/04/2024 | 01/05/2024 | |
---|---|---|---|---|
Last | 200.65 $ | 201.55 $ | 200.55 $ | 200.55 $ |
Volume | 577 | 658 | 1 | 6 |
Change | +1.81% | +0.45% | -0.50% | 0.00% |
Opening | 198.98 | 202.25 | 201.55 | 200.16 |
High | 200.65 | 202.25 | 201.55 | 200.55 |
Low | 198.98 | 201.35 | 200.55 | 200.16 |
Other stock markets
Markets | Price | Change | Volume | ||
---|---|---|---|---|---|
London S.E.
JPXU
| JPXU | Delayed quote | 200.6 USD | 0.00% | 6 |
London S.E.
JPXX
| JPXX | Delayed quote | 18,380 GBX | -0.08% | 0 |
Euronext Paris
JPX4
| JPX4 | End-of-day quote | - EUR | -.--% | 0 |
Euronext Paris
JPXH
| JPXH | End-of-day quote | - EUR | -.--% | 0 |
London S.E.
0E7W
| 0E7W | Delayed quote | 94.6 CHF | -.--% | 0 |
Börse Stuttgart
JPNE
| JPNE | Delayed quote | 27.63 EUR | -0.85% | 0 |
BOERSE MUENCHEN
JPNE
| JPNE | Real-time | 27.8 EUR | -0.75% | 0 |
Performance
1 week | +1.15% | ||
1 month | -2.37% | ||
3 months | +1.82% | ||
6 months | +12.57% | ||
Current year | +6.89% | ||
1 year | +18.61% | ||
3 years | +31.87% | ||
5 years | +63.77% |
Volumes
marketsHighs and lows
Indicators
Historical data
Date | Opening | High | Low | End-of-day | Volume |
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Last transactions
Date | Price | Volume | Daily volume |
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Description
LU1646359882 | |
---|---|
Total Expense Ratio | 0.20% |
Asset Class | |
Sector | |
Size | |
Currency | |
Provider | |
Underlying | 100% MSCI JAPAN SRI FILTERED PAB 100% HEDGED TO USD Index - USD |
Features and characteristics
Jurisdiction | |
Fund Structure | |
Replication Method | |
Replication Model | |
Date of creation |
21/09/2017
|
Dividend Policy | |
Geographical Focus |
AuM evolution ( 27/03/2024 )
AuM (EUR) | 13 M€ |
---|---|
AuM 1M | 13 M€ |
AuM 3 months | 9 M€ |
AuM 6 months | 10 M€ |
AuM 12 months | 9 M€ |
- Stock Market
- ETF
- JPXU ETF
- Quotes AMUNDI INDEX MSCI JAPAN SRI PAB - UCITS ETF DR - USD HEDGED (C)