Components First Trust Japan AlphaDEX Fund ETF - USD

ETF

FJP

US33737J1584

Delayed Nasdaq 11:30:18 29/04/2024 pm IST 5-day change 1st Jan Change
52.7 USD +0.92% Intraday chart for First Trust Japan AlphaDEX Fund ETF - USD -0.27% +4.58%

Composition of First Trust Japan AlphaDEX Fund ETF - USD

Weight
2,092 JPY +3.77%+2.40%+3.71%2.88%
4,205 JPY +2.34%+1.25%-3.80%2.29%
4,713 JPY +2.12%+2.68%+4.34%2.18%
1,048 JPY +2.49%+2.34%+36.55%2.14%
2,373 JPY +0.55%-1.49%+24.60%1.90%
9,670 JPY +0.45%+3.91%+16.39%1.89%
4,737 JPY +0.32%+9.40%+12.71%1.83%
1,678 JPY 0.00%+0.30%+10.14%1.77%
6,145 JPY +1.55%+3.64%-16.84%1.76%
3,444 JPY +0.44%+0.94%+6.63%1.73%
1,954 JPY -1.36%+0.75%+7.30%1.66%
2,302 JPY -0.43%-0.28%+22.94%1.66%
3,589 JPY -1.83%-4.50%+10.84%1.63%
3,909 JPY +1.35%+5.05%+27.08%1.59%
3,529 JPY +0.92%+2.23%+56.60%1.56%
2,384 JPY +4.56%+0.93%+12.72%1.56%
7,519 JPY +1.86%+5.53%+41.92%1.54%
5,066 JPY +0.60%+0.98%+51.27%1.49%
472.7 JPY +1.20%+1.88%+5.28%1.39%
2,959 JPY 0.00%+4.39%+25.57%1.38%
2,336 JPY +0.75%-0.49%+6.81%1.38%
2,175 JPY +1.16%+3.25%+20.77%1.37%
2,540 JPY 0.00%+5.97%-0.37%1.36%
1,950 JPY +0.52%+0.98%+7.35%1.35%
1,750 JPY +0.26%+0.20%+19.41%1.30%
638.3 JPY +0.52%+0.82%+17.55%1.28%
3,957 JPY +0.76%+0.53%+22.39%1.28%
6,898 JPY -0.16%+6.06%+19.61%1.27%
4,383 JPY +1.95%-0.61%+4.81%1.26%
3,322 JPY +1.40%+0.67%+28.46%1.25%
1,338 JPY +0.98%-1.55%-4.19%1.25%
2,176 JPY 0.00%+8.07%+29.13%1.24%
5,389 JPY +0.88%-1.73%+12.34%1.19%
4,365 JPY -0.66%-2.65%+17.12%1.18%
6,709 JPY +1.64%+1.13%+51.86%1.17%
1,406 JPY -1.40%+1.96%+11.67%1.17%
2,706 JPY +1.33%+4.18%+21.43%1.15%
5,272 JPY +3.78%+2.83%+24.16%1.13%
711.9 JPY +1.21%-1.14%+27.03%1.11%
10,945 JPY +1.81%+1.53%+31.08%1.10%
1,552 JPY +0.06%+3.50%+28.15%1.09%
4,350 JPY +1.56%+3.08%+1.83%1.08%
14,570 JPY +0.69%+5.50%+26.70%1.05%
5,927 JPY +0.97%+0.87%-11.06%1.04%
10,330 JPY 0.00%-0.14%+41.84%1.04%
2,796 JPY 0.00%+0.14%+24.24%0.99%
951.5 JPY +0.58%+6.92%+1.59%0.97%
2,370 JPY 0.00%-0.63%+31.97%0.96%
2,393 JPY -0.17%-2.64%+19.71%0.92%
16,220 JPY -0.06%-3.51%+35.96%0.89%
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ETF Ratings

Description

US33737J1584
Total Expense Ratio 0.80%
Asset Class
Sector
Size
Currency
Provider
Underlying NASDAQ AlphaDEX Japan Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
18/04/2011
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 190 M€
AuM 1M 186 M€
AuM 3 months 170 M€
AuM 6 months 176 M€
AuM 12 months 98 M€
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