AMUNDI MSCI JAPAN ESG CLIMATE NET ZERO AMBITION CTB INDEX IHC

Overview

Fund classes:
Amundi Index Solutions - AMUNDI MSCI JAPAN ESG CLIMATE NET ZERO AMBITION CTB INDEX IHC-C CHF
CHF 2,094.96 Price
CHF 1.61
0.08%
Today's Change
ISIN LU1322783777
Share Class Accumulation
Ongoing Charge 0.149%
Annual Management Charge 0.1%

This Sub-Fund is passively managed. The objective of this Sub-Fund is to track the performance of MSCI Japan Index, and to minimize the tracking error between the net asset value of the Sub-Fund and the performance of the Index. The Sub-Fund aims to achieve a level of tracking error of the Sub-Fund and its index that will not normally exceed 1%. The Index is a Net Total Return Index : dividends net of tax paid by the index constituents are included in the Index return. MSCI Japan Index is an equity index representative of the large and mid-cap segments of the Japan market. More information about the composition of the index and its operating rules are available in the prospectus and at: msci.com The Index value is available via Bloomberg (NDDLJN). The exposure to the Index will be achieved through a Direct Replication, mainly by making direct investments in transferable securities and/or other eligible assets representing the Index constituents in a proportion extremely close to their proportion in the index. The Investment Manager will be able to use derivatives in order to deal with inflows and outflows and also if it allows a better exposition to an Index constituent. In order to generate additional income to offset its costs, the Sub-Fund may also enter into securities lending operations. Dividend Policy : the accumulation share automatically retains, and re-invests, all attributable income within the Sub-Fund; thereby accumulating value in the price of the accumulation shares. The minimum recommended holding term is 5 years. Shares may be sold or redeemed (and/or converted) on any dealing day (except otherwise stated in the prospectus) at the respective dealing price (net asset value) in accordance with the articles of incorporation. Further details are provided in the prospectus of the UCITS.

Price and Net Asset Value breakdown

Midprice CHF 2,094.96
Change on Day CHF 1.61
Change on Day % 0.08%
52 week high CHF 2,261.57
52 week low CHF 1,707.17
Fund currency CHF
Date updated 16 January 2025

Fund details

Fund Type SICAV
Unit Type Accumulation
Standard initial Charge -
Annual Management Charge 0.1%
Dividend Frequency -
Latest Distribution Info -

Fund manager information

Fund Manager Company Amundi

Fund manager biographies

Name Frederic Peyrot
Since 10 June 2015
Bio
View all manager information