Fund Outline - Listed Index Fund Japan Equity (MSCI Japan)
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 |
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| 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. |
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| Overview of Fees, etc. | ||||||||||
The following fees and expenses are charged to investors:
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| * 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.) |
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