Listed Index Fund World Equity (MSCI ACWI) ex Japan
Investment Objective
Fund Details
Fund Name
Asset Type
Listing Exchange
JPX Code
Targeted Investments
Date Listed
Exchange Trading Unit
Closing Date
TER (Total Expense Ratio)
Target period : January 21, 2024 ~ January 20, 2025
Please refer to the prospectus for details.
Investment Management Expenses (Trust Fee)
About the Index
MSCI ACWI ex Japan Index is an equity index developed by MSCI Inc., and it is the weighted-average of overall investment return of equities in developed and emerging countries excluding Japan by market capitalization ratio and then assigning index values accordingly.

Further Information
Japan Exchange Group (JPX)
Japan Exchange Group publishes summaries and lists of the ETFs, as well as other valuable information on their website.
S&P Global
- Listed ETF iNav
Please click this link to see the iNAV.
MSCI Index
- MSCI ACWI Performance Data After clicking the above link, please chose the following criteria. Market : All Country (DM+EM) Currency : USD Index Level : Price Size : Standard (Large+Mid Cap) Please click "Search" and choose "ACWI ex Japan" in the list.
* For enquiries regarding this fund's holdings, please contact MSCI.
*Link to external sites.
This Fund is not sponsored, endorsed, sold, or promoted by MSCI Inc and its affiliated companies, information provider, and other third parties (hereinafter refers to "MSCI"), who were involved or related in the editing, calculation, or creation of the MSCI index. MSCI index is an exclusive property of MSCI. The name of MSCI and MSCI Index is a service mark of MSCI and its affiliated companies and Amova Asset Management Co., Ltd. is allowed to use this for specific a purpose. MSCI related companies make no expression or warranty, expressed or implied, as specified to the Fund’s owners or issuers, or any member of the public or organizations regarding the advisability of investing in securities generally or in the Fund particularly or in the ability of MSCI Index to track the performances of certain financial markets. MSCI and its related companies are licensers of MSCI Index and determine, create, and calculate the MSCI index regardless of specific trade marks, service marks or names, the Fund’s issuer or owners, and any member of the public or organizations. MSCI related companies have no obligation to consider the requests of the Fund’s issuers or owners, or any member of the public or organizations when determining, editing and calculating MSCI Index. MSCI related companies are not responsible for or been involved in the determination of the timing of, price at, or amount of the Fund to be issued, or in determination or calculation of the equation by which the Fund to be converted into cash, or the Fund’s conversion price. MSCI related companies assume no obligation to the Fund’s issuer or owner, any member of the public or organizations regarding, nor do they take any responsibility for management, marketing or trading of the Fund whatsoever.
MSCI obtains information required for calculating and using in the MSCI Index from sources it thinks are reliable, however, MSCI related companies do not make any guarantee of the originality, accuracy or completeness of MSCI Index or the data of the Index. MSCI related companies make no guarantee, expressed or implied, of the results to be obtained by the Fund’s issuer or owner, or any member of the public or organizations from the use of this Index or data included therein. MSCI related companies take no responsibility for any error, omission in the data included or the discontinuation of MSCI Index. Furthermore, MSCI related companies expressively disclaim all warranties or conditions of merchantability or suitability for a particular purpose or use of this Index or the data contained therein, and make no guarantee, express or implied, on merchantability or suitability of this Index or the data contained therein. Without limiting any of the foregoing, MSCI related companies are not responsible for any direct, indirect, special, punitive, or consequential damages, and all other damages (including lost profits) arising from the use of the data contained therein, even if notified of the possibility of such damages in advance.
The Fund’s purchasers, distributors, owners or any member of the public or organizations cannot use or mention MSCI's name, trademark or service mark for the purpose of sponsoring, endorsing, selling, or promoting the Fund without checking whether it is necessary to obtain MSCI’s prior consent. Any member of the public or organizations cannot mention their relationship with MSCI without obtaining MSCI's written approval in advance.
Transactions for Institutional Investors
This Fund can be applied for as a cash creation and a cash redemption at Authorised Participants in addition to the Tokyo Stock Exchange. When applying as a direct addition and exchange, please keep in mind that we cannot accept your application on the following dates:
