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Home / ETF Centre / Listed Index Fund Japan Equity (MSCI Japan) / NAV

NAV - Listed Index Fund Japan Equity (MSCI Japan)


NAV per Shares:¥45,535 (2012/05/21)
Day Change(¥):-82


Net Assets: 926 million
* The NAV is rounded to Transactions for under a million yen.


Issued: 2,034,280 shares



[Transactions for 2012/05/22]

Estimated number of redeemed shares per unit (Redemption A-1) 2,000,000
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Director of Kanto Local Finance Bureau (Financial instruments firms) No.368
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