Fund Outline - Listed Index Fund Japan Equity (MSCI Japan) Print

The following information is for customers who will make transactions through the Tokyo Stock Exchange.

Fund Name
Listed Index Fund Japan Equity (MSCI Japan)
Open-ended type/Domestic/Hybrid/ETF/Index fund
Issue Code
1544
Targeted Investments
Stocks that constitute the MSCI Japan index, and exchange-traded REITs
Listed Exchange
Tokyo Stock Exchange
Date Listed
27 July 2010 (launched on 26 July 2010)
Exchange Trading Unit
10 units
Trust Period
Unlimited
Computation Period
From July 9 of each year to July 8 of the next year
Closing Date
July 8 of each year (fixed date for dividend payment)
Dividends
All revenue from dividends arising from the trust assets will be, in principle, paid as dividends on the last day of the fiscal year after deducting expenses.
*There is no guarantee on the payment or the amount of dividend.
Overview of Fees, etc.
The following fees and expenses are charged to investors:
Fees collected at the time of trading
Trading fee Stipulated by the broker. Please contact the broker for details.
Costs paid indirectly by the customer for the trust assets (paid from the fund)
Trust fee No more than 0.168% (0.16% excluding taxes) per annum of the daily total NAV of the Fund
Other fees and costs No more than 0.1% per annum of the daily total NAV of the Fund
Expenses for the preparation and distribution of prospectuses, audit costs, expenses for listing of the Fund, as well as royalties for the MSCI Japan Index are paid out of the trust assets at the times specified by the Management Company.
Brokerage commissions on securities in the portfolio, interest on advances, lending fee (in case security lending is conducted, the amount obtained by multiplying a lending fee on securities lent by a figure which is a profit for Trust Assets, not exceeding 0.525 (0.5 excluding taxes) (0.525 (0.5 excluding taxes) as of the date of the filling of the securities registration statement), and other fees are paid out of the trust assets each time they are incurred.
*The figures for items such as the rate and maximum amount cannot be provided in advance as they fluctuate in line with investment performance and other factors.
* Prior information on total fees and costs charged cannot be provided because the holding period and others will vary depending on the investor.
Trustee Companies
The Sumitomo Mitsui Trust Bank, Limited
(Trustee company of re-entrustment: Japan Trustee Services Bank, Ltd.)