Japan Funds performance table

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fund name 1 mthsort icon 3 mth 12 mth ytd Inception Net assets Return Date
Nomura TOPIX ETF 2% 10% 30% 10% 3% 4295M 2015-03-31
MAXIS TOPIX ETF 2% 10% 30% 10% 12% 4295M 2015-03-31
Nikko Exchange Traded Index TOPIX 2% 10% 30% 10% 4% 4295M 2015-03-31
Daiwa ETF TOPIX 2% 10% 30% 10% 3% 4295M 2015-03-31
SMAM Condi Cap Gteed Ret Distrbtn 2006-9 2% 1% 2% -4% -8% - 2011-07-31
Nomura Fraton V-ASEAN Fund 2% -2% 11% 2% -6% - 2011-07-31
NEXT FUNDS JPX-Nikkei Index 400 ETF 2% 10% 30% 10% 21% - 2015-03-31
NEXT FUNDS TOPIX-17 Electric Power & Gas 2% 4% 21% 4% -5% 441M 2015-03-31
Listed Index Fund JPX-Nikkei Index 400 2% 10% 30% 10% 24% - 2015-03-31
Daiwa ETF JPX-Nikkei 400 2% 10% 30% 10% 35% - 2015-03-31
MAXIS JPX-Nikkei Index 400 ETF 2% 10% 30% 10% 31% - 2015-03-31
iShares JPX-Nikkei 400 ETF 2% 10% 0% 10% 9% - 2015-03-31
Listed Index Fund S&P Japan Emerg Eq 100 2% 0% 6% 0% 4% 722M 2015-03-31
Daiwa ETF TOPIX-17 Electric Power & Gas 2% 4% 21% 4% -5% 259M 2015-03-31
SMAM Stock Price Reference Fund 2008-8 2% 6% 26% 10% 3% - 2011-07-31
NEXT FUNDS TOPIX-17 Machinery 2% 4% 26% 4% 7% 4295M 2015-03-31
Listed Index Fund TOPIX Mid400 Japan 2% 11% 33% 11% 6% 587M 2015-03-31
Daiwa ETF TOPIX-17 Machinery 2% 4% 26% 4% 6% 630M 2015-03-31
Nikkei 225 Covered Call ETF 2% 10% 25% 10% 22% 497M 2015-03-31
SMAM Conditional Income Protected 07-08 2% 2% 11% 1% -8% - 2011-07-31
SMAM Vietnam ASEAN Fund 2% -2% 14% 4% -6% - 2011-07-31
Amundi CA Conditional Cptl Gteed 2006-11 2% 4% -6% -19% -8% - 2011-07-31
NEXT FUNDS TOPIX-17 Financials (exBanks) 2% 10% 25% 10% 0% 859M 2015-03-31
SMAM China Stock F Large Country 2006-2 2% -1% 4% 2% 8% - 2011-01-31
Okasan Conditional Invest Ref NIKKEI1002 2% 6% 0% 0% 2% - 2010-12-31
SMAM China Stock F Large Country 2006-5 2% 3% -2% 5% 8% - 2011-04-30
Daiwa ETF TOPIX-17 Financials (exBanks) 2% 10% 26% 10% 0% 358M 2015-03-31
Listed Index Fund Japan High Dividend 2% 12% 32% 12% 12% 4295M 2015-03-31
Schroder Dividend Protected Fd JPY 0803 2% 9% 19% 8% 5% - 2011-02-28
Nomura Global Automobile Equity 1005 2% 3% 28% 10% 19% - 2011-07-31

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