
NAV and Index Performance (from inception)
━ Net Asset Value (per Shares) (excluding dividend payment) (¥)
━ FTSE Japan Green Chip 35 Index
- NAV value is listed after deducting trust fees.
- NAV progression is listed assuming that dividends (before taxes) are reinvested.
- The copyright, other intellectual property rights, and all other rights pertaining to the FTSE Japan Green Chip 35 Index are the property of FTSE.
- The performance, data, etc., noted above are based on past information and neither guarantee nor promise future performance