Tokyo Stock Exchange, Inc. (TSE) will newly calculate and publish the real-time Indicative Net Asset Value (Indicative NAV) per share for the below Exchange Traded Funds (ETFs) beginning September 22, 2014.
1. Addition
Code | ETF | Fund Administrator |
1358 | Listed Index Fund Nikkei Leveraged Index | Nikko Asset Management Co.,Ltd. |
2. Indicative NAV Values
TSE Indicative NAV values and PCF can be found on the website below.
3. ETF list
ETF list |