Listed Index Fund Japan High Dividend (TSE Dividend Focus 100)
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 9, 2025 ~ July 8, 2025
Please refer to the prospectus for details.
Investment Management Expenses (Trust Fee)
About the Index
* The TSE Dividend Focus 100 Index consists of 100 issues (90 stocks and 10 REITs) that have been selected based on market capitalization and expected dividend yield. The Index was developed with a base value of 1,000 as of February 26, 2010.
*The constituent issues of this index are reviewed every January and July. The TSE Dividend Focus 100 Index includes the constituent issues from the TOPIX 1000 and the Tokyo Stock Exchange REIT Index (accounts are settled in March, June, September and December) that rank highly in terms of market capitalization and expected dividend yield.

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.
*Link to external sites.
The TSE Dividend Focus 100 Index Value and the TSE Dividend Focus 100 Index Marks or Trademark are the intellectual property of JPX Market Innovation & Research, Inc. or its affiliate (hereinafter referred to as JPX"). All rights and expertise relating to the TSE Dividend Focus 100 Index (including calculation of the stock price index and publication and use of the index value) and all rights relating to the TSE Dividend Focus 100 Index Marks or Trademark belong to JPX.
JPX reserves the right to change the methods of calculation or publication for the TSE Dividend Focus 100 Index Value, to cease the calculation or publication of the TSE Dividend Focus 100 Index Value, or to change the TSE Dividend Focus 100 Index Marks or Trademark or cease the use thereof.
JPX makes no guarantee or representation as to the results derived from the TSE Dividend Focus 100 Index Value and the use of the TSE Dividend Focus 100 Index Marks or Trademark, and as to the TSE Dividend Focus 100 Index Value on a specific date.
JPX does not guarantee the accuracy or completeness of the TSE Dividend Focus 100 Index Value and data contained therein. Furthermore, JPX shall not be liable for the miscalculation, incorrect publication, delayed or interrupted publication of the TSE Dividend Focus 100 Index Value.
This fund is not in any way sponsored, endorsed or promoted by JPX.
JPX does not bear any obligation to give an explanation of this Fund or advice on investments in this Fund to any purchaser of this Fund or to the public.
JPX does not consider the needs of the Amova Asset Management or purchasers of this Fund in selecting constituent issues used for the calculation of the TSE Dividend Focus 100 Index Value or when making any other related calculations.
Including but not limited to the foregoing, JPX shall not be responsible for any damage resulting from the creation, sale, and promotion of this Fund.
Transactions for Institutional Investors
Shares
Estimated number of created shares per unit
(Creation B-2)
Estimated number of redeemed shares per unit
(Redemption A-1)
Estimated number of created shares per unit
(Creation B-1)
Creation/Redemption Flow
Daily Creation and redemption are based on ETF's NAV calculated in early evening. Confirm non-tradable days by referring to trading calendar on our official homepage. Basket for creation is continually-updated on our official homepage.
Basically sell/buy at last price of T day's market.
The flow chart below is showing the creation/redemption process for Amova ETFs. Please note that transactions cannot be processed for days on which applications are not accepted.




