Beginning on March 17, 2014, Tokyo Stock Exchange, Inc. (TSE) will publish the real-time Indicative Net Asset Value (Indicative NAV) per share through the FLEX standard service for the below six Exchange Traded Funds (ETFs)and one Exchange Traded Note (ETNs)
1. Addition
(1) ETFs
Code | ETF | Fund Administrator |
1591 | NEXT FUNDS JPX-Nikkei Index 400 Exchange Traded Fund | NOMURA ASSET MANAGEMENT CO.,LTD. |
1592 | Listed Index Fund JPX-Nikkei Index 400 | Nikko Asset Management Co.,Ltd. |
1593 | MAXIS JPX Nikkei Index 400 ETF | Mitsubishi UFJ Asset Management Co.,Ltd. |
1595 | NZAM ETF J-REIT Index | Norinchukin Zenkyoren Asset Management Co.,Ltd. |
1596 | NZAM ETF TOPIX Ex-Financials | Norinchukin Zenkyoren Asset Management Co.,Ltd. |
1597 | MAXIS J-REIT ETF | Mitsubishi UFJ Asset Management Co.,Ltd. |
(2) ETNs
Code | ETN | ETN Issuer |
2043 | NEXT NOTES STOXX ASEAN-Five Select Dividend 50 (NR-JPY) ETN | Nomura Europe Finance N.V. |
The indicative NAV for ”2043 NEXT NOTES STOXX ASEAN-Five Select Dividend 50 (NR-JPY) ETN” is calculated by multiplying the redemption value per one security for underlying securities (trust asset of ETN) of two business day before redemption and real time index performance of “STOXX ASEAN-Five Select Dividend 50 (NR-JPY)”.
Because the index value is provided by vender from 10:00(JST), the same Indicative NAV value (the value calculated by multiplying the redemption value per one security for underlying securities of two business day before redemption and last business day’s index performance) is provided from 9:00 to 10:00(JST).
PCF (Portfolio Composition File) files for ETFs will be available by clicking issue name.
2. List of ETFs for which Indicative NAV is calculated
ETF list |